Staff Accountant (onsite)
Company: Wings Financial Credit Union
Location: Saint Paul
Posted on: April 9, 2025
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Job Description:
PRIMARY PURPOSE: The Staff Accountant's role is to maintain
adherence to Generally Accepted Accounting Principles (GAAP) in the
timely and accurate processing of expense reports, invoices, credit
memos and payment transactions, while also ensuring all internal
controls are being enforced. Responsible for GL reconciliations,
fixed assets, prepaid expenses, the accounting functions pertaining
to property management and vendor management.
Make sure to apply quickly in order to maximise your chances of
being considered for an interview Read the complete job description
below.
ESSENTIAL FUNCTIONS:
Completing monthly, quarterly, and annual closes in an accurate and
timely manner.
Accounts payable: entering invoices and expense reports, processing
for approval following the established expenses policy, contacting
vendors, coding to a complex chart of accounts, auditing supporting
documentation, ensuring all approval controls are followed to
mitigate risk, resolving discrepancies, preparing payments, and
reconciling Accounts Payable general ledgers.
General ledger reconciliations including, but not limited to:
Prepaid Accounting, Lease Liability & Right of Use Assets, NCUSIF,
Foundation, Commercial Lending Fees Payable, Member Rewards and
other AP, Property Management, or Fixed Asset reconciliations.
Fixed assets (both tangible and intangible): recording new fixed
assets, tracking existing fixed assets, recording depreciation, and
accounting for the disposition of fixed assets.
Accruals: prepares, monitors, adjusts, and reconciles accruals of
expenses.
Property management: invoicing, accounts receivable, preparing the
rent roll, maintaining accurate and up-to-date records, and
reconciling/verifying tenant statements.
Corporate credit cards, audits, reconciles and submits corporate
credit card payments.
Sales and Use Tax: makes tax application decisions through the use
of current tax law to accurately process and submit monthly sales
and use tax payments to each state.
Vendor 1099 reporting: prepares, reviews, and reports vendor 1099s
quarterly and annually and stays up to date with changing IRS
regulations.
Manages the vendor database and vendor filing system, including
obtaining current W-9s, entering new vendors and auditing all
vendors to ensure IRS and OFAC regulations are followed.
Protects and keeps company information confidential.
Processes Board member compensation.
Prepares and distributes recurring operational reporting.
Acts as a first point of contact for the accounting department,
providing quality service in a timely and courteous manner.
Audits all daily general ledger journal entry postings for
accuracy.
Tracks postage inventory, initiates payments as funds are needed,
and completes associated journal entries.
Assist with both internal/external audits by preparing schedules,
researching data, clarifying inquiries, and providing
explanations.
Recommends and implements process improvements to increase the
accuracy and/or efficiency of regular tasks.
EDUCATION, EXPERIENCE AND SKILLS:
Bachelor's degree in accounting, finance, or related field
required.
3-5 years of accounting experience required.
Knowledge of GAAP, accounting standards, corporate policies, and
procedures regarding accounting.
Experience with general ledger functions and the month-end/year-end
close process.
Excellent analytical and problem-solving skills.
Advanced knowledge of Microsoft Excel is required, and SQL
experience is preferred.
Ability to work in a fast-paced environment while meeting critical
deadlines.
Ability to interact and communicate effectively with all credit
union employees.
Demonstrated a high degree of accuracy, attention to detail,
reliability, and personal accountability.
Ability to prioritize, manage time, and maintain professionalism
under pressure.
Ability to plan and execute assigned tasks with minimal
direction.
Strong team player with a willingness to assist.
Self-starter, quick learner, and ability to multi-task
regularly.
Bondable
Pay Range: $57k-$72k plus 10% annual target bonus. The estimated
hiring range is the budgeted amount for this position. Final offers
are based on various factors, including skill set, experience,
location, qualifications, and other job-related reasons.
BENEFITS:
Generous 401(k) match
401k Discretionary Profit Sharing
Health Insurance
Dental Insurance
Vision Insurance
Life Insurance
Short Term and Long Term Disability
Health Savings Account with company contribution
Employee Assistance Program
Paid Vacation, Sick, Floating Holidays and Volunteer Time Off
Paid Holidays
Tuition Reimbursement
Paid Parental Leave
Keywords: Wings Financial Credit Union, St. Paul , Staff Accountant (onsite), Accounting, Auditing , Saint Paul, Minnesota
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