Purpose: Responsible for a wide variety of daily accounting and operational functions within the Finance department. Accountable for maintaining the Companyās general ledgers and assisting with preparation of internal reports.
Preparation of Various General Ledger Journal Entries and Reconciliations: Calculate and record entries for various general ledger accounts for West Bank and prepare daily and monthly general ledger reconciliations on a timely basis, as assigned. Responsible for recording all holding company general ledger entries and preparing reconciliations for the Company. (40%)
Preparation of West Bank and West Bancorporation, Inc. Internal Management Reports: Responsibilities includes accurate and timely preparation of daily and monthly internal management reports that assist management in the analysis of financial results. Additionally, perform accounting duties as assigned related to developing department process improvements. (20%)
Daily Funds Management: Assist with the Bankās daily funds management process. This includes borrowing and repaying daily fed funds, sending cash collateral or requesting return of cash collateral to/from derivative counterparties, rolling funding/related swaps, and preparing related journal entries. (25%)
Provide Back Up for Other Finance Department Team Members: Responsible for backing up the recording of other general ledger entries as needed and backing up the daily responsibilities of the other Accountant positions within the department. Will also back up the accounts payable function within the department. Assist with gathering data requested by internal and external auditors. (10%)
Build Strong Communities: Participate in community events, including spending at least 4 hours annually staffing an event (art festivals, community celebrations, etc.), representing West Bank at a luncheon or reception as requested, or participating in a community festival (parade, etc.) or bank-sponsored outreach event. (5%)
Qualifications (Include Education and Experience): BS/BA in Accounting. Strong accounting skills. Accounting experience preferred. Proficient in Microsoft Word and Excel. Previous banking experience a plus. Detail oriented with strong organizational, time management, and multi-tasking skills.
Questions?
Call Jill Hansen 515-222-2305.
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