Accounting Specialist II
Tennessee Tech • Cookeville, Tennessee • Full Time
Posted on Wed, Jul 22, 2026
Description of Job Duty:
1. Utilizing the Oracle Cash Management module, this position will reconcile all bank accounts for all TTU entities,
including the University, TTU Foundation, and Tech Farms, LLC. These reconciliations must be completed in a
timely manner. State Audit considers this to be within 30 days of the last day of the prior month to avoid audit
findings. This process involves communicating with all Business Office personnel whose transactions would affect
cash management to determine if something has been entered correctly. Reviews all transactions for six University
bank accounts and one for Tech Farms, LLC and reconciles them separately for each account. This includes a
reconciliation for multiple entities on one shared account. Compares bank statement balances to general ledger
balances and makes recommendations to other Business Office staff when something does not appear to reconcile.
Final reconciliations are signed by Senior Vice President of Planning and Finance after review by AVP for Business
& Fiscal Affairs. This position will work with and train appropriate backup personnel on the Talon cash management
module and bank reconciliation processes.
2. Reconciles unclaimed property on a monthly basis. Annually, notifications must be sent to all payees on the
outstanding unclaimed property listing. Any stale dated check that is not rewritten must be remitted to the State of
Tennessee or other applicable state that requires separate reporting. Responsible for remitting unclaimed property
totals to each state electronically and communicating information to Assistant Controller.
3. Performs other financial reconciliations as needed or requested by Business Office management.
4. Performs other duties as assigned.
Tennessee Tech is an Equal Opportunity/Affirmative Action employer.
Responsibilities
Essential Functions:
1. Utilizing the Oracle Cash Management module, this position will reconcile all bank accounts for all TTU entities,
including the University, TTU Foundation, and Tech Farms, LLC. These reconciliations must be completed in a
timely manner. State Audit considers this to be within 30 days of the last day of the prior month to avoid audit
findings. This process involves communicating with all Business Office personnel whose transactions would affect
cash management to determine if something has been entered correctly. Reviews all transactions for six University
bank accounts and one for Tech Farms, LLC and reconciles them separately for each account. This includes a
reconciliation for multiple entities on one shared account. Compares bank statement balances to general ledger
balances and makes recommendations to other Business Office staff when something does not appear to reconcile.
Final reconciliations are signed by Senior Vice President of Planning and Finance after review by AVP for Business
& Fiscal Affairs. This position will work with and train appropriate backup personnel on the Talon cash management
module and bank reconciliation processes.
2. Reconciles unclaimed property on a monthly basis. Annually, notifications must be sent to all payees on the
outstanding unclaimed property listing. Any stale dated check that is not rewritten must be remitted to the State of
Tennessee or other applicable state that requires separate reporting. Responsible for remitting unclaimed property
totals to each state electronically and communicating information to Assistant Controller.
3. Performs other financial reconciliations as needed or requested by Business Office management.
4. Performs other duties as assigned.
Physical Demands:
Those typical of an office environment.
Work Hours:
Typical hours are Monday-Friday, 8:00 a.m. - 4:30 p.m.
Special Instructions:
Applicants will be required to submit a cover letter, resume, contact information for three professional references, and a copy of unofficial transcripts (official transcripts will be required upon hire). Submission of materials is the applicant’s responsibility. Applications without all required materials are incomplete and will not be considered.
Salary:
Commensurate with education and experience. Level P2, Grade 11.
Benefits Information:
The University offers a competitive benefits package. Benefits include the accumulation of two vacation days per month, one sick leave day per month, and thirteen University holidays. Other benefits include medical and life insurance (shared cost with the university), retirement, optional 401k, and educational benefits.
Qualifications
Minimum Qualifications:
Bachelor's degree from an accredited institution in a business or related field. At least two years of relevant work experience.
Preferred Qualifications:
Prior experience with bank or other accounting reconciliations, Oracle ERP experience, Financial related higher education experience. Excellent mathematical and procedural analytical skills. Excellent written and verbal communication skills. Ability to multi-task in a fast-paced environment. Ability to meet frequent deadlines. Knowledge of software such as Microsoft Office Suite (Excel, Word, Outlook, PowerPoint, Access).
AuditFriendly salary estimate
The employer did not post a salary for this role. Based on AuditFriendly's salary intelligence model (comparable live postings, role, seniority, and location), we estimate base pay of $50,000–$75,000 per year (median ~$59,000). This is an AuditFriendly estimate, not an employer-provided figure.
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