Accounting Specialist

CENTRAL BANCOMPANY, INC.Branson, MO
Onsite

About The Position

The Accounting Specialist supports the bank’s accounting and financial operations by performing routine accounting tasks, processing transactions, maintaining accurate financial records, and assisting with daily, monthly, and periodic reporting activities. This role requires strong attention to detail, a high level of confidentiality, and the ability to work within a regulated banking environment. The Accounting Specialist will also perform banking support duties beyond normal accounting activities on a recurring basis.

Requirements

  • Strong attention to detail and accuracy
  • Solid understanding of general ledger accounting and financial controls
  • Strong data entry and reconciliation skills
  • Ability to manage multiple priorities and meet deadlines
  • High ethical standards with the ability to maintain confidentiality
  • Ability to work independently and collaboratively in a team environment
  • Eagerness to learn and leverage AI tools in accounting and banking workflows
  • Office based role in a professional banking environment
  • Ability to sit for extended periods and work at a computer
  • Occasional lifting of files or boxes up to a moderate weight

Nice To Haves

  • Bachelor’s degree preferred with a major in Accounting, Finance, Business Administration, or a closely related field
  • Prior experience in accounting, bookkeeping, or a financial institution preferred
  • Experience working in a regulated or compliance driven environment is a plus
  • Experience with Microsoft 365

Responsibilities

  • Assist with daily accounting activities, including reviewing transactions and monitoring general ledger accounts
  • Post transactions to the general ledger and subsidiary systems
  • Research and help resolve out of balance items, discrepancies, or unposted transactions
  • Maintain accurate and organized accounting records and supporting documentation
  • Assemble, review, and verify invoices and check requests for accuracy and proper approval
  • Perform accurate data entry of vendor invoices and employee expense reports
  • Research and resolve invoice discrepancies and vendor inquiries
  • Maintain vendor documentation, including W 9 forms and 1099 support files
  • Assist with balancing miscellaneous and control accounts
  • Support month end and periodic closing activities
  • Help prepare internal financial reports and schedules, including materials for management or board reporting
  • Monitor designated accounts and maintain documentation for audit readiness
  • Adhere to internal controls, bank policies, and regulatory requirements
  • Handle sensitive financial and customer information with confidentiality and integrity
  • Support audits and examinations by providing documentation and explanations as requested
  • Serve as primary or backup for non-accounting banking functions as needed
  • Assist with special projects assigned by the CFO
  • Maintain working knowledge of the bank’s products, services, and internal systems
© 2024 Teal Labs, Inc
Privacy PolicyTerms of Service