Position Summary :
This is a professional level accounting position responsible for performing complex accounting clerical tasks to support accounts receivable and accounts payable. This position processes bi-weekly payroll, posts journal entries, processes payments and deposits and verifies accuracy of data. This position reports to the Financial Services Supervisor.
Essential Duties and Responsibilities :
- Date stamps and processes daily mail and distributes to all departments.
- Records all checks mailed to City Hall and records when same checks have been received back from other departments for deposit. This ensures no checks are lost.
- Audits and reconciles weekly cash activities from various departments and maintains yearly files.
- Creates monthly invoices to retirees and Gas Authority.
- Creates monthly invoices for the sewer plant customers.
- Enters payments into ADG for invoices sent.
- Weekly review of airport sales and monthly sales tax reconciliation of Titan credit card revenue.
- Completes weekly comparison of bank transactions to the general ledger by fund.
- Creates A / R monthly billings and maintains receivable aging.
- Executes bi-weekly payroll activities.
- Ensures accuracy of RT6 and 941 reports filed by third party.
- Creates all requisitions for Finance, IT, and Legal Departments and orders items to be purchased.
- Reviews and approves requisitions for all City departments.
- Assists departments with travel form completion.
- Maintains all requisition voids and purges all old requisitions.
- Files Quarterly Fuel Tax Refund reports to state for City and Gas Authority fuel purchases for reimbursement.
- Files monthly sales tax revenues report to the state.
- Data entry of the monthly revenues received from the Gas Authority.
- Data entry of all budget transfers and maintains those yearly files.
- Responsible for creating all new customers in ADG.
- Responsible for creating all new vendors in ADG and ensuring all items on the vendor checklist are on file (such as W-9, E-Verify, and certificate of insurance for each as required).
- Completes monthly processing of cleared AP payments for all bank accounts.
- Assists with completion of monthly bank reconciliation.
- Gathers financial documents as needed for grant reimbursements.
- Monitors incoming revenue from state (FLAIR).
- Coordinates fixed asset entry with grant accountant.
- Assists with Pension bank reconciliations and reporting.
- Assists with Annual Audit.
- Cross trained to review AP invoices for payment before updating (backup to Supervisor).
- May complete the work of other department positions, as necessary.
Knowledge, Skills, and Abilities :
Working knowledge of basic accounts receivable functions, including reconciling, posting, and balancing.Knowledge of basic office business practices, including answering phones and drafting correspondence.Skilled in accurately recording accounts receivable transactions.Able to resolve issues related to accounts receivable.Proficient computer skills including electronic mail, record-keeping, word processing, and spreadsheets required.Ability to communicate effectively both orally and in writing; ability to understand and follow complicated oral and written instructions.Ability to make computations and tabulations with speed and accuracy.Ability to perform basic government fund accounting.Ability to interact with City employees, numerous vendors and the public while maintaining a friendly environment within the Department.