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Accounts Payable and Staff Accountant

Presidential Bank
$55,000 - $60,000 - Presidential Bank offers a comprehensive benefits package that includes paid leave, medical, dental, vision, short- and long-term disability, life insurance and retirement plans.
401(k)
United States, Maryland, Bethesda
4600 East-West Highway (Show on map)
Feb 28, 2025
This unique entry-level role serves in dual capacities, providing both accounts payable support as well as staff accounting support, including general ledger entry and reconciliation.

Major Duties and Responsibilities:

Transaction Entries Posting



  • Daily General Ledger journal entry posting
  • Daily core system posting
  • Daily end of day closing/update of General Ledger
  • Monthly Prologue General Ledger journal entry posting to the Bank
  • Monthly Prologue General Ledger journal entry posting to Subsidiaries
  • Management of files and folders for daily general ledger transactions
  • Reconcile and post daily receipts deposits
  • Monthly/Bi-weekly payroll/tax and 401k wires
  • Mortgage accounting posting and clearing mortgage related checks and wires



Accounts Payable

  • Review submitted invoices for accuracy and proper authorization as well as general ledger coding.
  • Input invoices into the Accounts Payable system and process payments.
  • Prepare invoice packet with check or ACH authorization for signature.
  • Prepare monthly and quarterly financial schedules for inclusion in board materials.
  • Maintain database of paid invoices to include documentation.
  • Reconcile records with internal company employees and management, or external vendors or customers.
  • Create master vendor file for OFAC reporting purposes
  • Maintain proper documentation for Vendor Management purposes.
  • Maintain and tracking of Mortgage invoices.



Balancing and Reconciliation

  • General ledger reconciliations for bank accounts and related cash clearing accounts


Includes research of reconciling items and coordination with other personnel to clear transactions

  • Mortgage GL reconciliations and clearing Mortgage cash GL



Report Preparation/Distribution

  • Month end DDA statements
  • Monthly Branch Expense Reports
  • Monthly Loan Officer Reports
  • Other Management and Board Reports
  • Daily Liquidity Report
  • Ad Hoc reports
  • Month end Mortgage reports



Other

  • Assist with audit requests
  • Special finance or accounting related projects upon request



Position Requirements:


  • AA or BS/BA in accounting or business with emphasis in accounting
  • Proficient with Microsoft products, especially Excel, and knowledge of General Ledger Systems
  • Detail oriented with good organizational and time-management skills
  • Ability to work independently and collaboratively in a team environment to meet objectives
  • Effective verbal, written and interpersonal communication skills


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