Staff Accountant II

Abilene Christian UniversityAbilene, TX
Onsite

About The Position

The Staff Accountant II will execute daily treasury accounting transactions and perform treasury-related systems maintenance and coordination to ensure the accuracy and timeliness of ACU’s accounting information and reports. This position requires the employee to be a professing Christian and to support the Christian mission of ACU.

Requirements

  • Advanced knowledge of MS Excel spreadsheets
  • Ability to reconcile accounting records and data
  • Ability to tactfully and effectively communicate verbally and in writing
  • Ability to operate the University’s accounting system (Workday)
  • Ability to operate Touchnet cash receipts and online sales systems
  • Bachelor’s degree in Accounting or Finance or equivalent work experience
  • Experience in reconciliation of financial data
  • High attention to detail.
  • High level of personal integrity.
  • Ability to communicate with and provide assistance to other departments.
  • Ability to manage projects through to completion through personal leadership.
  • Exceptional organization skills

Nice To Haves

  • Certified cash manager designation is desirable

Responsibilities

  • Daily treasury and cash management functions.
  • Reconcile activity transferred via automatic feeds from various processing systems (Touchnet Payment Gateway, PayPath, Point-of-sale systems, etc.) to the cash postings in clearing accounts in a timely manner.
  • Provide resources for credit card merchants across campus to facilitate the acceptance of credit card payments with various point-of-sale devices and ensure PCI compliance of said merchants.
  • Perform accounting services for general financial and billing and receivables functions.
  • Other tasks and projects as needed.
  • Collection/analysis of data from various University banking service providers.
  • Ensuring that journal entries for all banking activities (other than Accounts Payable transactions) are accurately recorded in a timely manner and include proper supporting documentation.
  • Preparation and distribution of the daily cash management worksheet.
  • Ensure the timely deposit of cash receipts in the University’s bank accounts.
  • Timely and appropriate opening and closing of bank accounts and serialized deposit accounts; facilitating the addition/deletion of authorized signers and wire transfer initiators and approvers; obtaining and maintaining specimen signatures; maintaining the authorizations and related documentation for all of the above.
  • Document and maintain the University’s treasury and cash management processes and procedures, while communicating recommendations for improvements, when needed.
  • Maintain the database of University bank account numbers.
  • Prepare related schedules and reports for audit purposes.
  • Forecasting of cash availability.
  • Reconcile data transfer entries from Touchnet’s Cashiering, Marketplace, Payment Gateway, and PayPath modules with cash postings in Workday on a daily basis.
  • Prepare formal reconciliation reports for cash clearing accounts and student aid clearing accounts each month in connection with the month-end close procedures.
  • Provide hardware and system configuration services for credit card merchants, allowing them to accept credit card payments with various devices (Square, dial-out card readers, etc.).
  • Facilitate the creation and maintenance of credit card merchant agreements between financial institutions and campus merchants.
  • Manage and maintain proper data security over any other online sales systems (e.g. PayPal).
  • Ensure PCI compliance of merchants.
  • Serve as a resource for campus partners on questions related to credit card transactions.
  • Assist with preparation of financial survey reports, financial statements, accounting reconciliations, and other accounting reports, as needed.
  • Oversee cashier’s office and train staff and act as a backup cashier when needed.
  • Prepare financial reports and reconciliations of financial data on a timely basis.
  • Reconcile the balances in treasury-related clearing accounts on a timely basis.
  • Assist with preparation of financial survey reports, financial statements, and management reports, as needed.
  • Coordinate operations of the Touchnet Cashiering system, while ensuring compliance with applicable data security standards.
  • Reconcile data reported in Touchnet Cashiering with Workday on a daily basis.
  • Provide guidance and/or training to The Depot, Student Financial Services, and other campus merchants, as needed, on Touchnet Cashiering processes.
  • Ensure appropriate levels of access for all users of the Touchnet Cashiering system.
  • Serve as a cashier in Financial Operations, when necessary.
  • Ensure compliance with merchant card regulations (contractual, federal, state) and Payment Card Industry (PCI) data security standards.
  • Coordinate the Processing of Online Sales (eCommerce) Transactions and credit card sales from various point-of-sale devices across campus.
  • Serve on the implementation and project team for Touchnet Marketplace.
  • Provide assistance and/or training to promote compliance with ACU’s PCI policies and procedures among all campus merchants.
  • Review and/or input journal entries.
  • Assist with month-end and year-end close.
  • Assist with gathering information and answering questions for auditors.
  • Other tasks and projects as assigned.
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