Education and Experience:
- Graduation from college with a bachelor’s degree in accounting, financial management, and/or municipal government experience;
- Three (3) to five (5) years of accounting, audit, financial management and/or municipal government experience;
- One (1) to three (3) years of supervisory experience;
- An equivalent combination of education and experience.
- Active Certified Public Accountant (CPA) License
- Municipal Government Accounting Experience
The City of Idaho Falls Municipal Services/Treasurer is currently looking for a Treasury Operations Manager. In this position you will perform a variety of administrative, supervisory, and professional duties relating to the billing, receiving, processing and accounting for City expense and revenues, and assists in monitoring banking activities of the City. Manages designated functions (e.g., Treasury, Utility Billing, Accounts Payable and Procurement) of Finance Department.
SUPERVISION RECEIVED
Under the direct supervision, guidance, and direction of the Finance Manager / Treasurer.
SUPERVISION EXERCISED:
Responsible for the supervision, training, and evaluation of City staff as assigned.
Essential Functions
Treasury Management
Directs the activities of Treasury, Billing, Procurement and Accounts Payable functions. Reviews and approves billing and cash receipting transactions for the City and approves expenditure requests and audits invoices, requisitions, and purchase orders for correctness.
Directs staff in maintaining vendor profiles and applicable tax filings are prepared accurately and filed with the Internal Revenue Service within a timely manner.
Directs staff to ensure purchasing polices for adhered to, purchase orders are processed in an effective manner and efficient manner, .and all purchases are withing applicable laws and regulations.
Develops, plans, documents, evaluates, manages, and oversees operational activities of staff. Researches, recommends, and implements improvements to operational activities, polices, and procedures in coordination with City departments. Maintains and ensures accuracy and security of accounting systems, subledgers, vendors and customer information.
Works in collaboration with and under the guidance of Idaho Falls Power and Public Works representatives in the daily activities of the utility billing, and collection functions, including the coordination of service disconnection and reconnection of delinquent utility accounts; oversees and provides direction of the collections of all City bills, such as parking violations, utilities, accounts receivable, annexation agreements, licenses, contracts, etc.; participates in quarterly meetings with Idaho Falls Power and Public Works representatives to review and implement resolution to utility customer complaints. Works with Idaho Falls Power and Public Works to develop, implement and train staff on changes and improvements to utility billing services and customer services.
Ability to address and resolve customer service concerns or complaints in a tactful and professional manner; ability to defuse tense customer and staff interactions in a calm and professional manner. Responsible for the accuracy of revenues received by Department staff, prepares deposits and deposits revenue at bank(s).
Provides leadership and trains Department personnel in policies, procedures, and individual duties; cross-trains staff in office duties to provide job duty coverage; evaluates employee performance, makes recommendations concerning personnel actions, such as hiring, advancement, promotion, suspension, dismissal, or demotion.
Assists the Finance Manager / Treasurer by reviewing, processes, records, and reporting on all City revenue generated through a variety of City programs and services.
Assists the Finance Manager / Treasurer in the development, implementation, and maintenance of an effective revenue collection plan to improve the City’s collectability in utility services, ambulance services and other revenue accounts generated by the provision of City services.
Works with the Finance Manager / Treasurer to monitor the balances of City funds to ensure availability of adequate funding to process City expenditures within annual budget allocations. Actively monitors and manages the processes and controls around cash handling activities of staff to prevent loss. Manages City banking and merchant account relationships and resolves operational issues.
Accounting – May be asked to assist in various accounting functions as presented below:
Keeps Finance Manager / Treasurer apprised on fiscal condition of the city; assists Finance Manager / Treasurer with technical insight and recommendations related to determining fiscal policies, goals, and objectives; and acts as internal auditor.
Participates in preparation of the budget; reconciliation of financial records; and preparation financial statements for audit.
Produce data for consultants, project financing and fee studies; assisting departments with financial calculations and projections; preparing reports; reviewing financial data to ensure accuracy; and other related activities.
Participate in maintaining accounting for City Revenues and Expenditures to ensure compliance with all federal, state, and local laws, ordinances and fiscal procedures;
Participate in the internal financial and audit functions of the City, participates in the coordination of the annual fiscal year audit; review results of annual audit with external auditors; prepares related reports.
Performs related duties as required.