Accounting Specialist in Phoenix, Arizona at Arizona Central Credit Union
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Job Description
Arizona Central Credit Union Ranked Top 10 Best Places to Work in AZ for 2025 - AZBIGMEDIA
Join one of Arizona's leading credit unions, where our mission is to make a positive impact on the lives of our employees, members and communities. We strive to follow our Core Values every day, by providing outstanding member service and working to better the surrounding communities – our teams practice integrity, respect, diligence, ownership, and candor in everything they do.
Arizona Central Credit Union offers a comprehensive benefits package, including medical, dental, vision, 401k with up to 6% match, an employee assistance program, and much more.
Role:
The accounting specialist position is responsible for reconciling general ledger accounts. This position also creates month end accruals including maintaining the prepaid and fixed asset schedules.
Summary of Responsibilities:
- Assists the Accounting Manager by ensuring the credit unions compliance with GAAP and adherence to federal and governing rules and regulations by compiling and analyzing data, timely and accurate reporting, and by conducting internal audits of financial records.
- Manages the full accounts payable cycle, ensuring accurate and timely processing of invoices, payments and vendor reconciliations in compliance with company policies and deadlines.
- Balance general ledger accounts using basic accounting principles including creating journal vouchers when needed. Research outstanding items thoroughly and ensure they are resolved.
- Research and resolve payment discrepancies, handle returned check deposits and manage stop payments on corporate checks.
- Oversee preparation and reconcilement of the credit unions key general ledger accounts, balance sheet, income statement, activities and other month-end reports and processes.
- Regularly maintain the prepaid and fixed asset schedules to ensure that the general ledger accounts associated with these schedules balance.
- Calculate month end accruals for taxes, general expenses and one-off items and post them to the general ledger. Review and follow up on accruals versus actuals within relevant time period.
- Verify daily clearings are in balance (wires, check deposits) and reviews reconciliation and balance statements prepared by other employees and/or entities and resolve discrepancies.
- Monday - Friday: 9:00 am - 5:30 pm
- Remote work is available after three months (Hybrid).
- Experience:
- One to three years of similar or related experience.
- Experience working in a financial institution highly preferred.
- Other Skills:
- Effective communications skills (both written and verbal) are an essential component of the position as a means to gathering data from and presenting results to different audiences.
- Ability to write formulas, manage data and create professional level reporting documents.
- The ability to meet deadlines is critical.