Start Date
Immediate
Expiry Date
01 Jul, 25
Salary
0.0
Posted On
01 Apr, 25
Experience
4 year(s) or above
Remote Job
Yes
Telecommute
Yes
Sponsor Visa
No
Skills
Customer Service, Outlook, Peachtree, Writing, System Conversion, Critical Thinking, Service Standards, Tax Reporting, Professional Manner, Working Environment, Excel
Industry
Accounting
FuturePlan is the nation’s largest third-party administrator (TPA) of retirement plans, partnering with advisors in all 50 states. FuturePlan delivers the best of both worlds: high-touch personalized service from local TPAs backed by the strength and security of a large national firm, Ascensus. Our roots go back decades, with nearly 30 outstanding legacy firms now joined together to deliver unmatched levels of service, innovation and expertise to a fast-growing client base from coast to coast. The FuturePlan team includes more than 500 credentialed plan professionals, 60 actuaries, and one of the industry’s largest in-house ERISA teams. Learn more at FuturePlan.com.
SECTION 1: POSITION SUMMARY
Responsible for performing financial, administrative, and clerical services for multiple employer benefit trust clients, including: Gathering and processing financial data to assist Senior Accountant in completion of periodic financial statements, preparing reports of financial and statistical data and assisting/supporting the Senior Accountant in various general accounting duties such as journal entries, account reconciliations, and other month-end or periodic processes. Effectively communicate with internal sources as well as Clients, Trustees and other business partners.
SECTION 3: EXPERIENCE, SKILLS, KNOWLEDGE REQUIREMENTS
Accounts Payable
Accurately code invoices for correct G/L posting, as needed
Enter invoices in Peachtree and Business Works for payment
Manage the various payments via check or wire transfer, including attaining trustee signature and mailing to appropriate vendors
Communicate effectively with Clients and Vendors regarding accounts payable
Maintain vendor account information
Research and resolve vendor issues
Prepare and issue annual 1099s, W2s, and W3s as needed
Payroll Processing for Trust Client Employees, as required
Remit payroll taxes
General Ledger/Month-End Process for Multiple Trust Clients
Research and resolve discrepancies in financial data related to A/P
Verify and post bank transfer activity as required
Accumulate data and post journal entries (recurring and as directed by Senior Accountant)
Calculate broker commissions as needed, print checks and prepare accompanying letters
Prepare required monthly financial reports for trustees, as requested
Audit Assistance
Maintain financial files and documents according to established guidelines
Ensure thorough and complete audit trail for all journal entries and adjustments
Assist in producing requested documentation for annual trust audits
Assist Sr Accountant in answering auditor questions regarding internal controls, etc.
Maintain audit file of backup documentation
General Ledger
Post Cash Receipts for Trusts, as required
Prepare bi-weekly journal entries for Payroll
Prepare and post journal entires of all monthly expenses per bank statements, as required
Prepare retirement, dental and medical benefits worksheets for AP
Prepare quarterly and Year end EDD and IRS payroll Reports
Other
Ensure proper maintenance and online storage of financial data
Monitor Cash position of various trust operating accounts
May be required to work extra hours during peak periods