Accounting Clerk II Sample Clauses

Accounting Clerk II. The general duties of this classification shall include, but not be limited to, being responsible for the same finance activities as Accounting Clerk I, but this classification involves a greater degree of complexity or specialty such as payroll or taxation. Includes positions in cash collections, accounts payable, accounts receivable, taxes, utilities and payroll. Responsible for invoicing, journal entries, reconciliation of reports to general ledger and understanding the interaction of their area to the total operations. Knowledge of working with computerized financial systems as well as microcomputer applications such as spreadsheets and word processing. Requires some prior experience in finance/accounting. Additional related duties may include training of new or temporary employees.
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Accounting Clerk II. The work generally involves the office duties as described in the foregoing category and may include any or all of the following duties: • Balancing month end reports and reconciliations including daily cash and deposits as well as revenue accounts • Uploading remittance reports to OeSystem • Preparing and entering journal entries • Reconciling accounts • Preparing year end documents, working papers, for auditors • Preparing and maintaining monthly financial schedulesResponsible for records maintenance • Strong Excel skills • Other related duties as required by the Employer Appendix “A” - Wage Rates - Health & Wellness Trust Fund Benefits Administration I January 1, 2021 January 1, 2022 2% January 1, 2023 2% January 1, 2024 3% First 6 Months $25.01 25.51 26.02 26.80 Second 6 Months $27.32 27.87 28.43 29.28 Over 1 Year $29.23 29.81 30.41 31.32 Over 2 Years $30.34 30.95 31.57 32.52 Over 3 Years $30.99 31.61 32.24 33.21 Benefits Administration 2 January 1, 2021 January 1, 2022 2% January 1, 2023 2% January 1, 2024 3% First 6 Months $27.97 28.53 29.10 29.97 Second 6 Months $29.11 29.69 30.28 31.19 Over 1 Year $30.99 31.61 32.24 33.21 Over 2 Years $32.16 32.80 33.46 34.46 Over 3 Years $32.80 33.46 34.13 35.15 Benefits Administration 3 January 1, 2021 January 1, 2022 2% January 1, 2023 2% January 1, 2024 3% First 6 Months $31.67 32.30 32.95 33.94 Second 6 Months $32.82 33.48 34.15 35.17 Over 1 Year $34.73 35.42 36.13 37.21 Over 2 Years $35.89 36.61 37.34 38.46 Over 3 Years $36.48 37.21 37.95 39.09 Admin II/Accounting II January 1, 2021 January 1, 2022 2% January 1, 2023 2% January 1, 2024 3% First 6 Months $33.21 33.87 34.55 35.59 Second 6 Months $34.44 35.13 35.83 36.90 Over 1 Year $36.45 37.18 37.92 39.06 Over 2 Years $37.69 38.44 39.21 40.39 Over 3 Years $38.31 39.08 39.86 41.06 Accounting Clerk I January 1, 2021 January 1, 2022 2% January 1, 2023 2% January 1, 2024 3% First 6 Months $31.67 32.30 32.95 33.94 Second 6 Months $32.82 33.48 34.15 35.17 Over 1 Year $34.73 35.42 36.13 37.21 Over 2 Years $35.89 36.61 37.34 38.46 Over 3 Years $36.48 37.21 37.95 39.09 Accounting Clerk II January 1, 2021 January 1, 2022 2% January 1, 2023 2% January 1, 2024 3% First 6 Months $33.22 33.88 34.56 35.60 Second 6 Months $34.46 35.15 35.85 36.93 Over 1 Year $36.45 37.18 37.92 39.06 Over 2 Years $37.67 38.42 39.19 40.37 Over 3 Years $38.31 39.08 39.86 41.06 Network Analyst January 1, 2021 January 1, 2022 2% January 1, 2023 2% January 1, 2024 3% First 6 Months 35.37 36.08 3...

Related to Accounting Clerk II

  • Accounting and Records The books and records of the Company shall be made and maintained, and the financial position and the results of its operations recorded, at the expense of the Company, in accordance with such method of accounting as is determined by the Managing Member. The books and records of the Company shall reflect all Company transactions and shall be made and maintained in a manner that is appropriate and adequate for the Company’s business.

  • Accounting Rights Business Associate shall, within ten days of receiving a written request from Covered Entity, maintain and make available to Covered Entity the information necessary for Covered Entity to satisfy its obligations to provide an accounting of Disclosure under 45 C.F.R. 164.528.

  • Accounting Matters Unless otherwise stated, all accounting terms used in this Agreement shall have the meanings attributable thereto under IFRS and all determinations of an accounting nature required to be made hereunder shall be made in a manner consistent with IFRS.

  • Accounting and Recording (1) The Warrant Agent shall promptly account to the Corporation with respect to Warrants exercised, and shall promptly forward to the Corporation (or into an account or accounts of the Corporation with the bank or trust company designated by the Corporation for that purpose), all monies received by the Warrant Agent on the subscription of Warrant Shares through the exercise of Warrants. All such monies and any securities or other instruments, from time to time received by the Warrant Agent, shall be received in trust for, and shall be segregated and kept apart by the Warrant Agent, the Warrantholders and the Corporation as their interests may appear

  • Accounting System Maintain a system of accounting that enables Borrowers to produce financial statements in accordance with GAAP and maintain records pertaining to the Collateral that contain information as from time to time reasonably may be requested by Agent. Borrowers also shall keep an inventory reporting system that shows all additions, sales, claims, returns, and allowances with respect to the Inventory.

  • Accounting and Financial Reporting 6.1. The Bank shall maintain separate records and ledger accounts in respect of the Contributions deposited in the Trust Fund account and disbursements made therefrom.

  • Separate Accounting Our policies may permit separate accounting to be applied to your SIMPLE IRA for the benefit of your beneficiaries. If permitted, separate accounting must be applied in accordance with Treasury Regulation 1.401(a)(9)-8, Q&A 2 and 3. A beneficiary is considered the only designated beneficiary of his/her share of the SIMPLE IRA assets if separate accounting applies.

  • Accounting and Audits Criteria Architect must establish and maintain books, records, and systems of account, in accordance with generally accepted accounting principles, reflecting all business operations of Criteria Architect transacted under this Agreement. Criteria Architect shall retain these books, records, and systems of account during the Term of this Agreement and for three (3) years thereafter. Pursuant to Government Code Section 8546.7, this Agreement is subject to examination and audit of the State Auditor as specified in the code. Criteria Architect shall permit the Judicial Council, its agent, other representatives, or an independent auditor to audit, examine, and make excerpts, copies, and transcripts from all books and original records, and to make audit(s) of all billing statements, invoices, original records, and other data related to the Services covered by this Agreement. Audit(s) may be performed at any time, provided that the Judicial Council shall give reasonable prior Notice to Criteria Architect and will conduct audit(s) during Criteria Architect’s normal business hours, unless Criteria Architect otherwise consents. If an audit or Judicial Council internal review reveals that the Criteria Architect and/or its Subconsultant(s) have overcharged the Judicial Council, Criteria Architect will immediately pay to the Judicial Council the overcharged amount plus interest from the date of receipt of overpayment. The rate of interest will be equal to eighteen percent (18%) per year, or the maximum rate permitted by applicable law, whichever is less. The audit or Judicial Council internal review will be conducted at the Judicial Council’s expense, unless the audit or review reveals that the Criteria Architect and/or its Subconsultant(s) has overcharged the Judicial Council by ten percent (10%) or more on any invoice, in which case the Criteria Architect will reimburse the Judicial Council for all costs and expenses incurred by the Judicial Council in connection with such audit or review, including direct and indirect costs associated with Judicial Council representatives. This remedy shall not be exclusive to any other remedies available to the Judicial Council including, without limitation, a claim against the Criteria Architect for a False Claim pursuant to the False Claims Act (Gov. Code § 12650, et seq.) IMS/Monetary Penalties. The Judicial Council shall be entitled to remedy any “False Claims,” as defined in California Government Code section 12650 et seq., made to the Judicial Council by the Criteria Architect or any Sub-Consultant under the standards set forth in Government Code section 12650 et seq. Any Criteria Architect or Sub-Consultant who submits a False Claim shall be liable to the Judicial Council for three (3) times the amount of damages that the Judicial Council sustains from the False Claim. If Criteria Architect and/or Sub-Consultant submits a False Claim, they shall also be liable to the Judicial Council for: (a) the costs, including attorney fees, of a civil action brought to recover any of those penalties or damages, and (b) a civil penalty of up to $10,000 for each false claim. Accounting System Requirements. Criteria Architect shall maintain and shall ensure that its Sub-Consultant(s) maintain, an adequate system of accounting and internal controls that meets GAAP. The obligations of this Section shall survive the expiration of and any termination of this Agreement.

  • Accounting Format Applications for Payment shall be broken down by CSI Category and, in certain situations, by CSI Description and capital asset category, as set forth in the form for Application for Payment. The purpose is to provide appropriate backup documents for the Contractor’s Final Certification of Costs in conformance with GASB 34 accounting standards. See Section 7 – Forms, “Application for Payment” and Final Certification of Costs.

  • Final Accounting Upon the dissolution of the Company, a proper accounting shall be made from the date of the last previous accounting to the date of dissolution.

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