Operational Accounting Coordinator

Together Credit Union

St. Louis (MO)

Hybrid

USD 52,000 - 68,000

Full time

14 days+

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Job summary

Together Credit Union in St. Louis, MO seeks an Operational Accounting Coordinator to support daily ATM/ITM network operations, Shared Branching services, and electronic banking processes.

You will help ensure accurate reconciliations, adapt to system changes, and support cross-department collaboration to maintain smooth member experiences. In this hybrid role, you will work with internal teams and vendors to monitor activity, research exceptions, and implement process improvements while

Qualifications

  • Knowledge of general ledger accounting, reconciliation processes, and operational accounting practices.
  • Knowledge of ATM/ITM operations, electronic banking systems, card processing networks, and Shared Branching activities.
  • Skilled in analyzing financial and operational data to identify discrepancies, trends, and transaction issues.
  • Skilled in troubleshooting operational, balancing, and system-related issues while coordinating with internal teams and external vendors.
  • Ability to manage multiple priorities and daily operational deadlines through effective organization and time management.
  • Skilled in communicating effectively, both verbally and in writing, with branches, vendors, and operational teams.
  • Ability to maintain accuracy, attention to detail, and sound judgment in a high-volume operational environment.
  • Ability to identify process improvement opportunities and support operational efficiency and system integrity.

Responsibilities

  • Monitors, balances, and reconciles ATM/ITM networks and Shared Branching activity to ensure accuracy and system integrity.
  • Performs reconciliation of assigned general ledger accounts and makes necessary accounting adjustments.
  • Identifies and assists in resolving ATM/ITM outages and network issues in coordination with internal and external partners.
  • Maintains records, procedures, and documentation related to ATM/ITM operations, Shared Branching activities, and related accounting processes.
  • Processes and resolves transaction discrepancies, disputes, and adjustments related to electronic banking channels.
  • Reviews and approves wire transfers for proper approvals, member identification, OFAC, etc.
  • Analyzes ATM/ITM and Shared Branch performance data and recommends improvements to processes, systems, and vendor configurations.
  • Processes and records financial transactions, ensuring data is accurately entered into financial systems and reflected in financial reporting.
  • Supports implementation of new technologies, products, and services in partnership with vendors and internal stakeholders.
  • Serves as a liaison between branches, Member Contact Center, and operational teams for ATM/ITM-related issues and corrections.
  • Serves as a resource to peers on ATM/ITM balancing procedures and best practices.
  • Supports operational improvement efforts while ensuring timely, accurate completion of reconciliations, adjustments, and assigned operational tasks.

Skills

General ledger accounting
Reconciliation processes
Analytical thinking
Communication skills

Education

Degree or specialized training in accounting/finance

Tools

ATM/ITM operations systems
Electronic banking systems
Shared Branching platforms

Job description

Position: Operational Accounting Coordinator

Location: St. Louis, MO

Remote Status: Hybrid

Job Id: 693

# of Openings: 1

Job Title: Operational Accounting Coordinator

Reports To: Assistant Manager, Accounting

FLSA Status: Non-Exempt

Job Overview

The Operational Accounting Coordinator supports the daily operational accounting activities related to the Credit Union's ATM/ITM network, Shared Branching services, and electronic banking operations. This role helps maintain the accuracy and efficiency of transaction processing, reconciliations, and other operational accounting functions. By monitoring activity, researching exceptions, and assisting with key banking systems, the Operational Accounting Coordinator contributes to a positive member experience and the smooth operation of electronic banking services. The position works closely with internal departments to support operational processes, ensure compliance with established procedures, and help maintain effective operational controls.

Responsibilities

The intent of this job description is to provide a representation of the types of duties and level of responsibilities required of this position and is not intended to be an exhaustive list of all responsibilities, duties, and skills. Team members may be directed to perform job-related tasks other than those specifically stated in this description.

  • Monitors, balances, and reconciles ATM/ITM networks and Shared Branching activity to ensure accuracy and system integrity
  • Performs reconciliation of assigned general ledger accounts and makes necessary accounting adjustments
  • Identifies and assists in resolving ATM/ITM outages and network issues in coordination with internal and external partners
  • Maintains records, procedures, and documentation related to ATM/ITM operations, Shared Branching activities, and related accounting processes
  • Processes and resolves transaction discrepancies, disputes, and adjustments related to electronic banking channels
  • Reviews and approves wire transfers for proper approvals, member identification, Office of Foreign Assets Control (OFAC), etc.
  • Analyzes ATM/ITM and Shared Branch performance data and recommends improvements to processes, systems, and vendor configurations
  • Processes and records financial transactions, ensuring data is accurately entered into financial systems and reflected in financial reporting
  • Supports implementation of new technologies, products, and services in partnership with vendors and internal stakeholders
  • Serves as a liaison between branches, Member Contact Center, and operational teams for ATM/ITM-related issues and corrections
  • Serves as a resource to peers on ATM/ITM balancing procedures and best practices
  • Supports operational improvement efforts while ensuring timely, accurate completion of reconciliations, adjustments, and assigned operational tasks
Minimum Required Qualifications

An equivalent combination of education, training, and experience will be considered.

  • High school diploma or equivalent
  • 1+ years of experience in accounting operations, banking operations, reconciliation support, electronic banking, financial services, and/or related transferable experience
Preferred Qualifications
  • Degree or specialized training in accounting, finance, or related field
  • 2+ years of experience in operational accounting, ATM/ITM operations, electronic banking support, and/or reconciliation activities
  • Experience working in a credit union, banking, financial services, or other highly regulated environment
Knowledge, Skills, and Abilities (KSAs)

A representation of the knowledge, skills, and abilities necessary to perform this job competently.

  • Knowledge of general ledger accounting, reconciliation processes, and operational accounting practices
  • Knowledge of ATM/ITM operations, electronic banking systems, card processing networks, and Shared Branching activities
  • Skilled in analyzing financial and operational data to identify discrepancies, trends, and transaction issues
  • Skilled in troubleshooting operational, balancing, and system-related issues while coordinating with internal teams and external vendors
  • Ability to manage multiple priorities and daily operational deadlines through effective organization and time management
  • Skilled in communicating effectively, both verbally and in writing, with branches, vendors, and operational teams
  • Ability to maintain accuracy, attention to detail, and sound judgment in a high-volume operational environment
  • Ability to identify process improvement opportunities and support operational efficiency and system integrity

Environmental or atmospheric conditions commonly associated with the performance of this job’s functions.

  • While performing the duties of this job, the employee works in normal office working conditions
  • This position will be eligible to work from home up to 4 days per week with the expectation of in-office business hours as needed, to include team meetings and team building sessions
Physical Abilities
  • Ability to work at a computer in a stationary position for up to 8 hours per day
  • Ability to occasionally carry light materials (e.g., laptop, presentation materials)

Together Credit Union is an Equal Opportunity employer. The Credit Union complies with appropriate federal, state, and local laws and provides equal employment opportunities without regard to race, color, religion, gender, age, sexual orientation, gender identity or expression, national origin, military or veteran status, disability (including pregnancy), genetic information, or any other protected status to all qualified applicants and employees. Together Credit Union is committed to a policy of non-discrimination and dedicated to providing a positive discrimination-free work environment.

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