Accounting - Supervisor - Accounting

City of Abilene•Abilene, TX
•Onsite

About The Position

Under general supervision of the Division Manager – Accounting, this position oversees daily operations of various accounting services functions. This role assists with the supervision of staff, prepares reconciliations, records financial transactions, monitors accounts receivable, and supports accounts payable and cashiering functions.

Requirements

  • Three (3) years of experience in accounting is required.
  • A Bachelor’s Degree in accounting or a related field is required.
  • Microsoft Excel and Office proficiency.
  • Knowledge of Generally Accepted Accounting Principles (GAAP).
  • Knowledge of Governmental accounting and fund structures.
  • Knowledge of Best practices in accounting.
  • Knowledge of Bank reconciliation.
  • Knowledge of Accounting process cycles from beginning to end.
  • Knowledge of Principles of supervision, training, and performance evaluation.
  • Skill to operate office equipment, including computer and calculator.
  • Proficient in intermediate-level computer software applications.
  • Attention to detail and accuracy.
  • Ability to investigate and resolve accounting errors, discrepancies, and other disputes.
  • Ability to meet job deadlines for assigned functions.
  • Ability to work independently.
  • Ability to deliver constructive feedback in a respectful, empathetic, and solution-oriented manner when working with team members and other departments.
  • Ability to communicate clearly and concisely, both orally and in writing.
  • Ability to provide guidance and training on accounting procedures and software.
  • Ability to establish and maintain cooperative working relationships with those contacted in the course of work, both internally and externally.
  • Ability to follow and embrace the City of Abilene Core Values – Respect, Integrity, Service Above Self, and Excellence in All We Do.
  • Ability to lead, manage, and perform as a team member in a manner that accomplishes the Division’s mission and treats team members with dignity, courtesy, and respect.
  • HIPPA Compliance training is required within sixty (60) days of employment.

Nice To Haves

  • A valid Texas driver’s license, the ability to obtain one within ninety (90) days of employment, or a military waiver is preferred.

Responsibilities

  • Record financial transactions with the preparation and entry of journal entries into the ERP system.
  • Process Accounts Payable payments and assist in Accounts Payable functions, including invoice adjustments or approvals, as needed.
  • Assist with reconciliations of the bank statement to the general ledger.
  • Evaluate and consult on end of day procedures with various divisions to improve efficiencies in bank reconciliation process.
  • Identify and investigate the cause of discrepancies between the bank and general ledger.
  • Oversee general billing accounts receivable processes across the City.
  • Monitor receivables and aging reports.
  • Provide training and support on preparation of general billing invoices.
  • Ensure invoices are prepared timely and billings are credited to the proper funds and accounts.
  • Recommend invoices for write-offs to City management.
  • Assist in overseeing cashiering operations across City.
  • Provide training and support to other divisions on ERP cashiering system.
  • Identify and assist in the implementation of process improvements to enhance accuracy and efficiency in accounting operations.
  • Support the Division Manager in oversight of accounting services.
  • Assist in planning, organizing, and supervising lower-level staff in accounting tasks.
  • Oversee and audit the quality and timeliness of their work.
  • Assists in ensuring the accuracy, completeness, and timeliness of financial transactions, reporting, and compliance with applicable laws, regulations, and policies.
  • Respond to staff inquiries, provide assistance and technical advice.
  • Assist departments with transaction inquiries and reports in ERP software.
  • Perform various accounting reconciliations.
  • Prepare and review financial reports, including periodic financial statements.
  • Consult and collaborate with departments on their budgets and transactions.
  • Prepare budget reports and provide information as requested.
  • Assist with special projects as assigned.
  • Perform other job-related duties and responsibilities as assigned.
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