Senior Financial Analyst

Heritage-Bank-Na

United States

On-site

USD 60,000 - 90,000

Full time

4 days ago
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Benefits offered by this job

Paid time off
Paid holidays
Health insurance
Dental insurance
Vision insurance
401(k) and ESOP
Volunteer days

Job summary

Heritage Bank NA is seeking a detail-oriented accounting professional to handle month-end closings, reconciliations, and collateral reporting. The role supports tax, payroll, and audit processes, ensuring accurate financial data and compliance with bank policies.

Responsibilities include maintaining ledger accuracy, assisting with annual reporting, and collaborating with departments to resolve discrepancies.

Qualifications

  • Bachelor’s degree in Accounting, Finance, Business, or related field.
  • Two+ years accounting, payroll, banking, or finance experience.
  • Bank or related industry experience preferred.

Responsibilities

  • Prepare and complete monthly general ledger account reconciliations.
  • Investigate and resolve reconciling items promptly.
  • Reconcile cash accounts, prepaid expenses, accrued expenses, and other balance sheet accounts.
  • Assist with month-end and year-end closing processes, including journal entries.
  • Prepare collateral reports and monitor collateral balances.
  • Support tax filings and payroll processing.
  • Assist with internal and external audits and regulatory reporting.
  • Maintain confidentiality of payroll and tax information.

Skills

2+ years accounting experience
Payroll processing experience
Banking industry experience
Payroll tax reporting experience

Education

Bachelor’s degree in Accounting, Finance, Business, or a related field

Job description

Core Responsibilities
Accounting
  • Prepare and complete monthly general ledger account reconciliations.
  • Investigate and resolve reconciling items promptly.
  • Reconcile cash accounts, prepaid expenses, accrued expenses, and other balance sheet accounts.
  • Monitor outstanding items and work with appropriate departments for timely resolution.
  • Maintain supporting documentation in accordance with Bank policies and audit requirements.
  • Assist with month-end and year-end closing processes, including preparation and posting of journal entries.
  • Maintain fixed asset records and depreciation schedules as assigned.
  • Support budget preparation, variance analysis, system upgrades, process improvements, and special projects.
Collateral Loan Reporting and Accounting
  • Prepare and maintain reports related to pledged and collateralized loans used for liquidity and borrowing purposes.
  • Monitor and reconcile collateral loan balances and related general ledger accounts.
  • Assist with reporting loan collateral pledged to various funding sources and correspondent relationships.
  • Ensure collateral reporting is accurate, complete, and submitted within required deadlines.
  • Coordinate with Lending, Operations, and Treasury personnel to maintain accurate collateral records.
  • Investigate and resolve discrepancies between collateral reports, loan records, and general ledger balances.
  • Maintain supporting documentation for audits, examinations, and internal reviews.
  • Support analysis of collateral availability and borrowing capacity as needed.
  • Serve as backup for the Financial Reporting Specialist.
  • Assist with preparation of monthly financial statements and management reports.
  • Support quarterly Call Report preparation and related schedules.
  • Assist with regulatory reporting and external reporting requirements.
  • Prepare supporting schedules and analyses for audits and examinations.
  • Ensure accuracy and completeness of financial reporting data.
Tax Support
  • Assist with preparation of tax-related schedules and supporting documentation for federal, state, and other applicable tax filings.
  • Prepare and review accounting support for tax accruals, estimated tax payments, and year-end tax workpapers as assigned.
  • Coordinate with external tax preparers or advisors by gathering requested documentation and responding to routine information requests.
  • Maintain organized tax support files in accordance with Bank record retention and audit requirements.
  • Assist with research and documentation related to tax reporting questions or accounting treatment as needed.
Payroll Administration
  • Process bi-weekly payroll and review payroll data for accuracy.
  • Manage payroll tax accounts and work with Paylocity to resolve tax notices, filing issues, and agency inquiries.
  • Process garnishments, levies, and other employee deductions.
  • Prepare and reconcile payroll-related general ledger entries, accruals, and liabilities.
  • Reconcile payroll reports to bank disbursements and general ledger accounts.
  • Support year-end payroll reporting, including W-2s, 1099s, and related tax documents.
  • Maintain payroll records and supporting documentation.
  • Provide payroll documentation and support for audits and examinations.
  • Maintain confidentiality of employee payroll, compensation, and tax information.
  • Identify and implement payroll process improvements.
Audit Support
  • Assist with internal audits, external financial statement audits, and regulatory examination requests.
  • Prepare audit schedules, reconciliations, roll-forwards, and supporting documentation for assigned general ledger accounts.
  • Respond to auditor and examiner information requests in a timely and accurate manner.
  • Support testing of internal controls by providing documentation and explanations for assigned accounting and payroll processes.
  • Track audit-related follow-up items and assist with resolution of findings or process improvement recommendations as directed.
Capital Market Support
  • Support daily lock desk operations, including rate lock registration, extensions, relocks, and exception processing.
  • Collaborate with lending, operations, and capital markets teams to resolve lock-related issues and support secondary market delivery activities.
Secondary Responsibilities
  • Maintain effective working relationships and workflows between various departments of the Bank.
  • Identify and support system automation opportunities that improve accounting, payroll, and operational efficiencies.
  • Provide training for co-workers as needed
  • Strive to increase overall Bank efficiency
  • Responsible for compliance with laws and regulations applicable to this position.
  • Responsible for performing professional and accurate service.
  • Participates in all required BSA training and demonstrates knowledge of BSA relative to job responsibilities.
  • Responsible for security as it applies to this position.
  • Perform additional duties as assigned to support team and organizational goals.
Bank Standards
  • Mission: Help people succeed financially.
  • Ethics: Always do the right thing.
  • Solutions: Bring innovative solutions to challenges.
  • Ownership: Take accountability and learn from our mistakes.
  • Positivity: Bring energy and enthusiasm to everything we do.

Get ready to be rewarded! This position provides an annual salary range of $60k - $90k. Full-time team members enjoy a comprehensive benefits package including paid time off, paid holidays, and even paid volunteer days. Your health is covered with medical, dental, and vision insurance, plus plan for your future with our 401(k) and ESOP retirement plans. Enjoy additional benefits and incentives consistent with our company policy. Join us and discover how rewarding your career can be!

Disclaimer

This job description outlines the general nature of the role and is not intended to be all-inclusive. Duties, responsibilities, and benefits may change as business needs evolve. Employment is at will, meaning either the employee or the Company may end the employment relationship at any time, consistent with applicable law.

We are an Equal Opportunity Employer and value diversity at all levels of the organization.

Requirements
Qualifications
  • Bachelor’s degree in Accounting, Finance, Business, or a related field preferred.
  • Two or more years of accounting, payroll, banking, or finance experience preferred.
  • Bank or related industry experience preferred.
  • Experience with payroll processing and payroll tax reporting preferred.
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