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Fixed Asset Data Entry Specialist

North East, MD, USA
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North East, MD, USA
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Description Fixed Asset Data Entry Specialist – Finance (Intern Fall Semester) FLSA Status: Non-Exempt Reports to: Ty Dexter, Director of Finance Grade:15 For 80 years, Sandy Cove Ministries has been a place where millions of people have connected with God and each other. We offer year-around signature programs designed to uplift and strengthen individuals and families, including summer vacation packages and a day camp for kids.

We also contract with ministries and organizations, helping them create their own impactful retreats and events on our property. All of this happens at our breathtaking location on the headwaters of Chesapeake Bay in North East, Maryland. With 150 guest rooms in our lodge and 220 beautiful acres, we offer guests authentic hospitality and the rest and renewal they crave. The mission of Sandy Cove Ministries is to help people connect with God and each other in order to be transformed into the image of Christ, through His Word, His creation, and community.

Position Overview Sandy Cove Ministries is seeking a detail-oriented Fixed Asset Data Entry Specialist to provide temporary/project-based support to the Finance Department in the setup and implementation of the organization's Fixed Asset Module within its financial system . The primary focus of this position will be to assist Finance with reviewing, organizing, validating, and entering fixed asset information into the financial system.

The individual will work closely with Finance staff to help ensure that existing fixed asset records are complete, accurate, properly classified, and successfully established within the new fixed asset module. This position is well suited for a student, recent graduate, accounting professional, or other individual with an intermediate understanding of accounting principles and strong attention to detail.

Previous experience with fixed assets, accounting systems, or financial data entry is preferred but not required. Key Responsibilities 1. Fixed Asset Module Setup Support Assist the Finance Department with implementation and setup of the Fixed Asset Module. Review existing fixed asset records and supporting documentation. Organize asset information in preparation for system entry and conversion. Assist with establishing asset records according to SCM's fixed asset categories and accounting requirements.

Support testing and validation of asset information entered into the financial system. 2. Fixed Asset Data Entry Enter and/or validate fixed asset information, including, as applicable: Asset description Asset identification or tag number Asset category/classification Department or cost center Acquisition/purchase date Original asset cost Vendor information Location Useful life Depreciation method Accumulated depreciation Net book value In-service date Disposal information, when applicable Other required financial system fields Ensure information entered into the system agrees with available accounting records and supporting documentation.

3. Data Review & Reconciliation Compare existing fixed asset schedules to information being entered into the financial system. Identify missing, incomplete, duplicate, or inconsistent asset records. Assist Finance staff with researching discrepancies. Verify that asset classifications, useful lives, acquisition dates, and costs are entered consistently. Assist with reconciling fixed asset records to applicable general ledger balances.

Maintain documentation of corrections or adjustments identified during the project. 4. Data Quality & Documentation Perform accuracy checks on information entered into the system. Maintain organized electronic documentation supporting asset records. Follow established naming conventions, asset classifications, and Finance procedures. Document questions or exceptions requiring Finance Department review.

Maintain confidentiality of financial and organizational information. 5. Finance Department Support Work closely with Finance staff throughout the fixed ass

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