University of South Florida
Accounting Specialist (Finance)
Credit Card transactions for Alumni, Touchnet, Athletics Chase and Amex - batch each separately and prepare deposit summary. Reconcile to Touchnet/Chase/Amex daily transaction report. Create header records and make folders for each batch. Update monthly deposit log with each according to date the credit cards were processed. Separate deposits for Central Records pick up and prepare journals for deposits retained in the Business Office.
Reconcile balance sheet accounts-expense receipts and reimbursement checks. Assist with pulling together documentation for internal or external audits or other BFS projects. Based on workflow, supervisor may also assign tasks associated with the Holding account reconciliation (research and workpaper preparation).
Reconcile touchnet/Chase/Amex to monthly deposit log. Acquire information on all outstanding items weekly. Verify all items have been deposited by month end closing. Assist with the coordination of month-end close related to transactions impacting cash.
Audit and approve open batches in FE and close header records. Performs post transaction verification of deposit batches prepared by BFS and processed by gift processing. Notifies gift processing of any discrepancies for correcting entries needed. Assist with posting batches and header records. Run cash balance sheet daily to ensure cash is in balance. Prepare journal entries as needed for deposits, data entry and audit of journals. Investigates and audits inquiries regarding accounts and funds. Audits, processes, and records refund transactions. Interacts and responds to customers with questions or problems related to specific accounting functions and policies. Investigates and audits inquiries regarding accounts and funds. More complex issues may be referred to the section supervisor or a Staff Accountant. Performs other administrative accounting duties as required to support the goals of the unit.