•Perform various duties involving the maintenance of ledgers or accounting data.
•Balancing, reconciling and researching discrepancies; assisting higher graded technicians in maintaining more complex accounts; receiving a limited variety of accounting documents and/or transactions.
•Reviewing and examining accounting documents verifying the mathematical accuracy and completeness of data and determining necessary processing actions.
•Reviewing documents for correct authorizations and validity of accounting classifications; classification of a group of related transactions to proper account codes.
•Work involving maintaining or reconciling accounts and accounting records.
•Posting and inputting data verified against source documents into automated accounting systems
April 9, 2019