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FN
First Northern Bank & Trust Co
Accounting Administrative Assistant
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Based on Pennsylvania data
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What they do
An Accounting Supervisor supervises accounting staff, assists with accounting and auditing for a company, and prepares financial reports. Works with other department or operations staff to track expenditures and manage budgets.
$86,483 / year median in Pennsylvania
+4% projected growth
Job Description
Accounting Administrative Assistant First Northern Bank & Trust Co Palmerton, PA Job Details Full-time $17 - $25 an hour 10 days ago Benefits Health insurance Dental insurance 401(k) Paid time off Vision insurance Life insurance Paid sick time Qualifications Microsoft Word Computer operation Microsoft Excel Microsoft Outlook Windows Bank experience Associate's degree Full Job Description
BANKING BACKGROUND AND ACCOUNTING DEGREE REQUIRED POSITION SUMMARY
Performs various functions in support of the CEO, President, EVP, CFO, and Assistant Corporate Secretary. Assist with Accounts Payable, Bank Investment Accounting Program, Asset and Liabilities Management and Profitability software, and assist Senior Vice President and Assistant Corporate Secretary in various duties at the Board level. Reasonable Accommodations Statement To perform this job successfully, an individual must be able to perform each essential duty satisfactorily. Reasonable Accommodations may be made to enable qualified individuals with disabilities to perform the essential functions.ESSENTIAL FUNCTIONS
- Assist with the Bank's Accounts Payable; preparing the invoices for payment; Inputting information from invoices and General Ledger on computer system; Preparing Expense checks; balancing statements; collecting information for and preparing 1099 forms; Request and maintain Certificates of Insurance for vendors, as required; Collect and process information for Sales & Use Tax reporting.
- Assist with all required accounting for Bank Investment Securities portfolio; Answering and placing calls to investment brokers on various security transaction; Verification and booking of entries for Purchases and Sales of investments to both General Ledger and computer system; Posting various principal and interest entries; Prepare and print various monthly investment reports; Prepare end of month proving, quarterly reports and annual reports.
- Perform various support duties for the CEO, President, executive staff and senior management.
- Assist with the Bank's Mortgage Appraisal & Inspection Fees accounts for outside appraisals and completion certificates in conjunction with the Mortgage Department; Prepare and mail checks to appraisers, collecting information and preparing 1099 forms.
- Assist with the
CD & DDA
Public Fund to assure proper pledging of securities for all class Z coded accounts if over $250,000.00.- Provide backup to CFO to include; Daily proving of Federal Reserve account, Profitstar maintenance and ALM reporting, financial statement preparation, call reporting preparation.
- Assist with maintenance on prepaid contracts and monthly accrual files.
- Prepares, presents and interprets financial reports to management and outside agencies as needed.
- Make reports to the Board of Directors on the financial soundness and practices of the bank.
- Perform additional duties as required.