Manager, Bank Accounting
First Command Financial Services, Inc. - Fort Worth, TX
Hiring: Manager, Bank Accounting Company: First Command Financial Services, Inc. Location: Fort Worth, TX Job Posted Time: 2026-09-16 13:07:43 Target Skills & Keywords : Regulatory Compliance About the job Experience: •5+ years of progressive accounting, financial reporting, or controllership experience required, with experience in banking, financial services, or public accounting. Required Skills: •How will this role impact First Command? •What will the employee do in this role? •Lead the month-end close process, general ledger governance, chart of accounts maintenance, financial statement preparation, management reporting, GAAP compliance, and variance/flux analysis. •Oversee balance sheet reconciliations, aging reviews, internal controls over financial reporting, accounting policies and procedures, and audit/examination support. •Review and document accounting treatment for new products, services, transactions, system changes, and operational activities to ensure appropriate accounting, reporting, and control outcomes. •Lead efforts to strengthen and revamp regulatory reporting processes, including Call Report schedules, FCB reporting, FDIC assessments, regulatory examinations, external audit requests, and implementation of new accounting or regulatory guidance. •Maintain accounting records and reconciliations for investments, borrowings, liquidity management activities, and Federal Reserve settlement activity; provide balance sheet and income statement data to support ALCO reporting. •Maintain accounting-related system configurations, general ledger mappings, posting logic, and related documentation; partner with IT and Operations to improve automation, reporting efficiency, and data integrity between core banking systems and the general ledger. Qualifications: •Bachelor’s degree in accounting, finance, or a related field required. •Advanced degree in accounting, finance, business, or a related field preferred. •Strong knowledge of GAAP, financial reporting concepts, bank accounting operations, general ledger governance, chart of accounts structure, account reconciliations, and internal control principles. •Demonstrated capacity to research, interpret, document, and implement technical accounting and regulatory guidance for new products, services, transactions, and operational activities. •Strong analytical and problem-solving skills with the ability to review flux analysis, aging reports, reconciliations, unusual activity, process gaps, and control considerations. •In-depth knowledge of internal controls over financial reporting, audit readiness, regulatory examination support, policy/procedure development, and documentation standards. •Previous experience building, improving, and documenting reconciliation and cash accounting processes, including controls, ownership, review standards, and resolution procedures. •CMA, CIA, or other relevant accounting, audit, risk, or finance certification considered a plus. Interested candidates, please apply directly through the job posting on company's career page or try via AI auto apply on this platform. Don't miss this opportunity to join a forward-thinking team!