Jobs · Rhode Island

FINANCIAL MANAGEMENT ANALYST.

Naval Education and Training Command · Newport, RI · 2 days ago
Full-time

Duties

  • Review and validate funding documents.
  • Perform daily reconciliation of financial transactions.
  • Conduct detailed reconciliation and analysis of prior year accounting transactions.
  • Provide training and technical assistance to financial staff.

Requirements

  • Must be a US Citizen.
  • Must be determined suitable for federal employment.
  • Must participate in the direct deposit pay program.
  • New employees to the Department of the Navy will be required to successfully pass the E-Verify employment verification check.
  • Must meet time-in-grade requirements.
  • May be subject to Selective Service registration.
  • Must obtain and maintain an interim and/or final security clearance.
  • Must achieve Financial Management Level I certification within prescribed timelines.
  • May require travel from normal duty station to CONUS and OCONUS and may include remote or isolated sites.

Qualifications

  • For GS-12: Must demonstrate at least one year of specialized experience at or equivalent to the GS-11 grade level or pay band in the Federal service or equivalent experience in the private or public sector. Must demonstrate reviewing, validating, and establishing funding documents; ensuring proper authorization, accuracy, and availability of funds; conducting detailed reconciliation and analysis of prior year accounting transactions; and preparing and delivering financial reports, data calls, and briefings to leadership, ensuring timeliness and accuracy.
  • For GS-11: Must demonstrate at least one year of specialized experience at or equivalent to the GS-11 grade level or pay band in the Federal service or equivalent experience in the private or public sector. Must demonstrate ensuring timely and accurate processing of financial transactions; maintaining financial records and ensuring records are following management compliance; analyzing financial data to identify discrepancies and trends; and performing daily reconciliation of financial transactions between the General Ledger and feeder systems to ensure data integrity.

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