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About South Story Bank & Trust
At South Story Bank & Trust, we are helping our communities, businesses and customers write their own stories through financing, banking, re-investing in our communities and giving back. We foster a collaborative, progressive environment where dedicated professionals can build rewarding careers while making a tangible impact in the community.
Position Overview
We are seeking an experienced Staff Accountant to support the financial operations of our Premium Finance division. This position will also share time and responsibilities with South Story Bank & Trust, our parent company, providing broader support across consolidated accounting functions. The role is responsible for maintaining accurate and timely financial records, processing daily accounting transactions—including accounts payable and accounts receivable—and assisting with monthly and annual close activities. The ideal candidate is detailed oriented, organized, analytical, and committed to ensuring precision and integrity in all financial processes.
Key Responsibilities
· General Accounting: Record and reconcile daily financial transactions. Maintain and reconcile general ledger accounts, including bank reconciliations. Assist with month-end and year-end close processes. Oversee accounts payable, accounts receivable, and cash management. Monitor insurance premium finance loans and interest accruals.
· Audit & Regulatory Support: Prepare audit and regulatory documentation. Assist with monitoring of internal control procedures.
· Reporting & Compliance Support: Ensure compliance with financial reporting requirements. Support the preparation of internal financial statements and management reports. Ensure compliance with GAAP and bank policies. Maintain documentation required for internal and external audits.
· Operational Support: Liaison between operations and accounting to ensure operational efficiency. Reconcile key operational accounts, including loans, deposits, investments, and correspondent bank accounts. Assist with fixed asset tracking and depreciation schedules. Provide support to loan operations, deposit operations, and branch staff regarding accounting-related questions.
What We Offer
Qualifications
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