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Job Details

General Ledger Accountant

  2026-06-06     Alaska Power Association     Anchorage,AK  
Description:

Under minimal supervision, ensures Chugach's general ledger is accurate and ensures cash and other general ledger accounts are properly recorded and timely reconciled.Reporting RelationshipsReports to: Manager, General AccountingDirects: NoneOccasionally assists in the training of other general accounting/finance personnel.Representative DutiesAssists with the development of financial statements and the related presentations to the Board of Directors. Prepares balance sheet, cash flow and labor data, as well as other information as needed.Prepares general ledger account reconciliations for balance sheet and revenues accounts on a monthly, quarterly or annual basis.Generates the reconciliation form, verifies the balance using supporting documentation (invoices, bank statements, etc.), documents variances and/or outstanding balances and electronically signs off on the reconciliations.Maintains account numbers by opening, closing and validating general ledger account strings.Prepares, calculates and maintains spreadsheets and journal entries related to debt, interest expense, audit schedules, microwave general & administrative allocation, investments, interest income, prepaid expenses, amortization, retail revenue, Beluga camp use, cost of fuel and purchased power, capital credits, garage, warehouse and information services clearing, and other areas as necessary.Exports weekly payroll transactions from and to applicable software including generating general ledger journal entries and verifies 401K transactions.Prepares monthly, quarterly and annual reports for filings with state, energy and federal agencies as well as audit schedules for independent auditors. Reports include sales data, gross receipts, sales tax, payroll data, revenues, expenses, check requests and others as assigned.Prepares monthly cash reconciliation for cash accounts including general fund, accounts payable, payroll, membership & deposits and capital credits.Prepares outstanding check lists, verifies deposits, and records repurchase activity and returned checks and payments.Imports and exports records through online banking.Researches and resolves discrepancies with other Accounting staff or personnel outside of the Department as needed.Prepares monthly spreadsheets that track kilowatt usage and revenue earned on a monthly and cumulative basis, and distributes invoices to wholesale customers.Prepares monthly spreadsheet to track actual workers compensation claims and the related journal entry and check request for payment. Provides estimate of projected workers' compensation expense on a monthly basis.Calculates and prepares payroll accrual journal entries and related indirect labor clearing, reversing and true‑up entries.Verifies accuracy of fuel and purchased power invoices and prepares payment requests.Prepares invoices and maintains account information for miscellaneous accounts receivable and reimbursable deferred debits. Maintains subsystem accounts receivable journals for subsequent reconciling to the general ledger.Reviews month‑end customer billing reports and related interfaces to general ledger. Resolves discrepancies in reports with other departments as needed. Ensures large billing adjustments performed by Member Services outside the correct load month have been adjusted for and properly accrued if necessary.Exports monthly reports from database system to use in accounts receivable and payable reconciliations, revenue reporting, kilowatt usage, quarterly tax reporting, reports for other departments to use, and the creation of daily journal entries.Unbundle accounts payable accounts and payroll information on a monthly basis. Prepares monthly unbundled financial presentation.Reviews journal entry audit trail, edits for accuracy and makes adjustments as necessary.Performs other job‑related duties as assigned.RelationshipsInternalManager, General Accounting: Reports to and receives work assignments and direction from. Keeps manager informed of problems and progress in all areas of work.Accounting Personnel: Responds to inquiries and provides information as related to Plant AccountingOther Departments: Receives requests from, provides assistance to and exchanges information as required.ExternalAuditors: Provides source documents as necessary and answers procedural questions to permit auditors to perform their function.Banking and lending authorities: Receives information from, responds to and resolves inquiries regarding banking and lending activities.Power Producers and Purchasers: Receives information from, responds to and resolves inquiries regarding purchased power, fuel costs and wholesale customers.Federal, State and Municipal Governments: Receives information from and provides information regarding general ledger issues.Regulatory Agencies: Receives information from, provides information to and answers questions regarding general ledger issues.Job Related QualificationsEducationA high school diploma or equivalent is required. Must have completed fifteen (15) semester credit hours of college‑level accounting courses, including general accounting, principles of accounting, managerial accounting, intermediate accounting, financial reporting, or more advanced related coursework. A Bachelors or Associates Degree in Accounting or Finance is preferred.ExperienceFour (4) years of accounting experience is required, two (2) of which must be in general ledger accounting, fixed asset accounting or financial reporting accounting and/or as a Chugach Plant Accountant I or Plant Accountant II.Education/Experience SubstitutionAdditional accounting experience beyond the specified four year minimum may be substituted for the educational requirements at the rate of one (1) year general ledger accounting, fixed asset accounting or financial reporting accounting experience and/or as a Chugach Plant Accountant I or Plant Accountant II for each three (3) semester credit hour accounting course.Knowledge/Skills/AbilitiesMust be familiar with and understand accounting principles, account reconciliation and analysis, accounting spreadsheets and invoicing. A thorough understanding of financial and statistical reporting is preferred.Proficiency in the use of spreadsheet software applications is required. Must have strong numerical data entry skills. Must be able to organize and manage multiple projects and priorities. Must have strong communication skills, including the ability to interpret technical data and communicate technical data/information to other personnel. Must possess problem‑solving and analytical thinking skills.Special Position RequirementsOccasional overtime and travel may be required.Working ConditionsWork is performed in a standard office environment with regularly scheduled working hours.Benefits InformationHealth Benefits (Available through IBEW with the Alaska Electrical Trust Fund)Medical & RXVisionFor more information, you can contact the IBEW Hall at 907-272-6571 or visit www.aetf.com401K PlanDefined Benefit (Pension through IBEW)Dependent Flex Spending AccountLife Insurance BenefitsBasic Life Insurance paid for by Chugach Electric#J-18808-Ljbffr


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