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Position Title
Senior Accounting Technician (Cash Reconciliation)
Agency
Air Force Services Agency
Announcement Number
21-AFSVC207455 Opens in new window
Open Period
Wednesday, March 17, 2021 to Wednesday, March 24, 2021
For preview purposes only. To apply, please return to the USAJOBS announcement and click the Apply button.
Eligibilities
1. Are you a Department of Defense (DoD) Air Force Nonappropriated Fund (NAF) employee separated by a business-based action within the last year?  If claiming yes, a copy of the AF Form 2545 or notice of separation due to business based action must be uploaded with your application to receive priority consideration. (limit characters)
2. Are you a spouse of an active duty military member? A military spouse is defined as the wife or husband of an active duty member of the US Armed Forces, including the US Coast Guard and the full time National Guard or Reserves. For the purposes of this preference, the marriage must have occurred PRIOR to the service member's relocation via a Permanent Change of Station (PCS) move to the military sponsor's new duty station. If claiming yes, a copy of your Sponsor's Permanent Change of Station (PCS) Orders (along with proof of marriage if applicant's name does not appear on sponsor's orders) must be uploaded with your application to receive preference. (limit characters)
3. Are you a Veteran?  If claiming yes, a copy of the DD 214 (member 4 or service 2 copy) or equivalent must be uploaded with your application to receive priority consideration. (limit characters)
4. Are you the spouse, widow/widower or parent of a veteran who was disabled or killed in action? If claiming yes, you will need to provide proof to validate this claim prior to a tentative job offer. (limit characters)
5. Have you been involuntarily separated from the Armed Services with an honorable or general under honorable conditions discharge within the last year?  If claiming yes, a copy of your transition assistance identification card must be uploaded with your application to receive preference. (limit characters)
Conditions of Employment
This position has requirements which must be met prior to employment, and conditions for continued employment. Your answers to the questions in this section will indicate your understanding of, or possession of, these requirements and conditions. (limit characters)
1. Appointment to this position is subject to a background investigation to determine your suitability for Federal employment. Are you willing to submit the proper documentation to have a background investigation completed? (limit characters)
Assessment 1
This section will be used to determine, if you possess the experience needed to qualify for a Senior Accounting Technician (Cash Reconciliation) NF-0525-III. Failure to respond to the questions will result in an ineligible rating. Your resume must reflect your responses. (limit characters)
Select the one statement that most accurately describes your training and experience carrying out each task using the scale provided. (limit characters)
1. Do you have progressive responsible accounting experience with comprehensive knowledge of double-entry accrual methods, procedures, and techniques? (limit characters)
2. Do you have experience in subsidiary ledger reconciliation? (limit characters)
3. Do you have experience in Air Force Services Financial Management Systems? (limit characters)
4. Are you proficient in Oracle system reports? (limit characters)
Select the one statement that most accurately describes your training and experience carrying out each task using the scale provided. (limit characters)
5. Are you familiar with Deposit Validation Report, CMIP Verification Report and Chase Paymentech Online reports? (limit characters)
6. Do you have experience working with MS Office applications software? (limit characters)
Select the one statement that most accurately describes your training and experience carrying out each task using the scale provided. (limit characters)
7. Do you have working knowledge and/or experience on basic accounting concepts to reconcile general ledger journal entries and cash receipts using using bank statements and point-of-sale system reports?
Please select applicable answer below:
(limit characters)
8. Certification Statement: By agreeing to the statement below, you are confirming that you: Understand this warning; have reviewed your responses to this questionnaire for accuracy; and verified your responses accurately describe your current level of experience and capability. Failure to agree or respond to the statement below will disqualify you from further consideration for the position. Select the most appropriate response below.
(limit characters)