Senior Accounting Assistant

State of NevadaCarson City, NV
Onsite

About The Position

The Nevada Controllers Office is hiring for a Senior Accounting Assistant in Carson City, NV. Duties and responsibilities include processing wires, cancellations, reissues, deposits, data entry for JVDs, and check printing. This requires working with various software and systems, such as banking systems and the State Accounting system to ensure accurate input, use of Microsoft Excel, Word, and Adobe, maintaining files and records, and maintaining professional and cooperative interactions with the public, other agency staff, and internal staff. This job description is not intended to be all-inclusive. The incumbent may perform other related duties as required to meet ongoing needs. Accounting Assistants supervise and participate in the performance of clerical accounting work in the maintenance of accounts and accounting records for State agencies.

Requirements

  • Three or more years of applicable experience as described in the job duties
  • Graduation from high school or equivalent education
  • Knowledge of processing agency accounting documents; budgeting and funding; recording, tracking, organizing, and reporting data.
  • Knowledge of bookkeeping methods and procedures related to monitoring contracts and grant spending.
  • Ability to compile and interpret data, prepare reports and recommendations; understand legal contracts and grants.
  • Ability to plan, implement, and monitor clerical accounting methods and procedures; explain guidelines, policies, and procedures.
  • Ability to review accounts documents prepared by others; reconcile accounts using automated systems.

Responsibilities

  • Receive, review, verify, and process accounts payable and receivable documents.
  • Receive payments, match payment to receivable due, and prepare receipts.
  • Review timesheets for completeness, authorized signatures, correct calculation of hours, adequate leave balances, and attachment of required documentation.
  • Verify charges and bill the appropriate account, apprise debtor of their liability, and assist in collection of past due accounts.
  • Balance account information, verify totals with back-up data, identify discrepancies, and identify and refer adjustments and/or correct records.
  • Develop spreadsheets for tracking, organizing, and reporting account related data.
  • Perform data input and record, organize, track, report, and verify financial information.
  • Reconcile bank statements, identify exceptions, and resolve routine problems.
  • Compose correspondence and provide financial, accounting data, and other information.
  • Process budget and accounting documents by encoding accounting distribution data.
  • Verify budget authority for expenditures, accuracy of billing claims, and authorized signatures.
  • Transfer accounting data to appropriate accounts, journals, or ledgers to summarize agency and/or program financial accounting information.
  • Assign a budgetary account code and post to revenue and receivable accounts.
  • Maintain and monitor revenue and expenditure accounts and notify management when revenues fall below projected levels.
  • Prepare and make daily deposits and balance monies, journals, and deposit forms.
  • Reconcile internal accounting records and reports to Controller’s reports and balance and prepare documents to make reconciliation.
  • Serve as liaison with central pay center staff, investigate and correct errors, prepare time adjustment sheets, enter payroll data, and maintain related records.
  • Access account information to respond to inquiries from clients or vendors.
  • Extract and gather information from a variety of internal and external sources and select which sources to use when information is conflicting.
  • Provide detailed supporting documentation for grant reports, work programs, and budget preparation.
  • Compile, organize, display, and summarize data to facilitate analyses and identify interrelationships.
  • Calculate, verify, and prepare documentation for overtime, call-back, shift differential, standby pay, requests for hand typed checks, and special pay.
  • Interpret and explain regulations, policies, procedures, and guidelines.
  • Review, resolve, and reconcile work done by others and provide technical assistance to staff to resolve problems.
  • Authorize payments within designated authority.
  • Act as a lead worker by assigning and reviewing work, training, and providing input to performance evaluations and discipline.
  • Assist in developing procedures to implement or improve work processes.
  • Perform related duties as assigned.
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