Accountant II: Credit Union Financial Operations

Socket.dev

Aurora (CO)

On-site

USD 55,000 - 75,000

Full time

5 days ago
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Job summary

AUX, a subsidiary of The League of Credit Unions & Affiliates, is seeking an Accountant II to support client credit unions and AUX’s accounting functions. The role involves maintaining accounting records, reconciling accounts, and assisting with the month‑end close while ensuring accuracy and timely delivery.

You will work with internal teams, clients, vendors, and industry partners to maintain high‑quality accounting support; deadlines and documentation standards are emphasized.

Qualifications

  • Four-year degree in accounting or related emphasis or equivalent training.
  • 1–3 years accounting experience preferred, financial institution experience helpful.
  • Ability to operate 10-key, PC, and accounting software.
  • Understanding of general ledger and double-sided accounting.

Responsibilities

  • Perform essential accounting functions for credit union clients in a timely, accurate manner.
  • Process daily ACH and Share Draft files; handle adjustments and maintenance.
  • Balance general ledger accounts and post journal entries; document procedures.
  • Assist with month-end close and prepare reconciliations and schedules.
  • Maintain client records and documentation; ensure deadlines are met.
  • Collaborate with clients, vendors, and internal teams to resolve issues.

Skills

Detail-oriented
Excellent mathematical skills
Professional communication
Sound judgment
Client interaction

Education

Four-year degree in accounting
Accounting-related coursework or apprenticeship

Tools

MS Office
Accounting software
10-key input

Job description

AUX, a subsidiary of The League of Credit Unions & Affiliates, is seeking an Accountant II to support client credit unions and AUX’s accounting functions. The role involves maintaining accounting records, reconciling accounts, and assisting with the month‑end close while ensuring accuracy and timely delivery.

You will work with internal teams, clients, vendors, and industry partners to maintain high‑quality accounting support; deadlines and documentation standards are emphasized.

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