Accounting Specialist - GL Reconciliation & Payables

CASE Credit Union

Lansing (MI)

On-site

USD 42,000 - 54,000

Full time

14 days+
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Job summary

CASE Credit Union is seeking an accounting professional to analyze and reconcile general ledger accounts and resolve discrepancies. You will post transactions, maintain records, and support accounting processes including ACH and wire transfers. This role emphasizes accuracy, organization, and cross-department collaboration.

The ideal candidate brings basic accounting knowledge, detail-orientation, and the ability to manage multiple clerical duties in a financial environment.

Qualifications

  • High school graduate or equivalent.
  • Knowledge of basic accounting concepts.
  • Knowledge of related computer applications.
  • Previous Credit Union or financial institution experience useful.
  • Well organized and detail oriented.
  • Good attention to detail and accuracy.
  • Cooperative and willing to assist others.
  • Able to use PC, calculator, and other basic business machines.

Responsibilities

  • Carry out assigned accounting functions accurately and on time.
  • Review source documents and daily transactions.
  • Post and reconcile general ledger accounts.
  • Provide filing and record-keeping; maintain reports.
  • Support wire transfers and ACH postings as needed.
  • Communicate with other departments and management.
  • Complete special projects and keep area secure and clean.

Skills

Organized & detail oriented
Attention to detail
Cooperative & helpful
PC & calculator proficiency

Education

High school diploma or equivalent

Job description

CASE Credit Union is seeking an accounting professional to analyze and reconcile general ledger accounts and resolve discrepancies. You will post transactions, maintain records, and support accounting processes including ACH and wire transfers. This role emphasizes accuracy, organization, and cross-department collaboration.

The ideal candidate brings basic accounting knowledge, detail-orientation, and the ability to manage multiple clerical duties in a financial environment.

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