Fresh Listing

Posted: March 24, 2026 (2 days ago)

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ACCOUNTING TECHNICIAN

Air Force Global Strike Command

Department of the Air Force

Fresh

Location

Salary

$22 - $22

per hour

Closes

Job Description

Summary

This job involves handling day-to-day accounting tasks like recording financial transactions, verifying documents, and preparing reports for a military base's non-appropriated funds office.

It's a full-time role with benefits, open to the public, and based at Barksdale Air Force Base in Louisiana.

A good fit would be someone with practical accounting experience who is detail-oriented and comfortable working with financial records in a structured environment.

Key Requirements

  • Experience in fund accounting methods, procedures, and techniques for maintaining and analyzing accounts
  • Ability to prepare financial settlements and reports using double-entry accrual accounting
  • Knowledge of regulations, guides, and precedents to interpret and apply in various accounting situations
  • Proficiency in tracing funds from initiation through expenditure to identify discrepancies
  • Successful completion of a Tier 1 background investigation
  • Relevant paid or unpaid experience, including volunteer work, clearly described in resume

Full Job Description

About the position: This position is Non-appropriated Fund (NAF) and will be assigned to the NAF Accounting Office at Barksdale AFB, LA. This position is a Regular Full Time (RFT) position.

Regular Full Time (RFT) employees have guaranteed hours 35 hours a week.

This is a Regular Full Time (RFT) position with benefits (medical, dental, life insurance, retirement, 401(k), and annual/sick leave. Who May Apply: Open to everyone.

Applicants will be categorized by preference(s) and/or priority consideration eligibilities.

An applicant's eligibility will be determined based on eligibility claimed in the questionnaire and proof of eligibility MUST be provided with application by the closing date, 04/01/2026 Business Based Action, Family Member Preference, Military Spouse Preference, Outside Applicant Veteran, Spouse/Widow/Parent of Veteran, and Transition Hiring Preference In order to qualify, you must meet the experience requirements described below.

Experience refers to paid and unpaid experience, including volunteer work done through National Service programs (e.g., Peace Corps, AmeriCorps) and other organizations (e.g., professional; philanthropic; religious; spiritual; community; student; social).

You will receive credit for all qualifying experience, including volunteer experience.

Your resume must clearly describe your relevant experience; if the position allows for qualifying based on education, your transcripts will be required as part of your application.

Qualifying Experience: Experience in work which provided comprehensive knowledge of fund accounting methods, procedures, and techniques used in maintaining and analyzing all classes of accounts in accounting system encompassing a number of diversified activities; ability to prepare financial settlements and reports.

Knowledge and understanding of the regulations, guides and precedents sufficient to interpret and apply them in a variety of accounting situations.

Knowledge of the accounting system sufficient to flow individual funds and specific monies from initiation through expenditure stages in order to trace discrepancies in the system.

Condition(s) of Employment: Successful completion and favorable adjudication of applicable background investigation (i.e. Tier 1 Level) is required.

You will be evaluated on the basis of your level of competency in the following areas: Major Duties:

Duties and Responsibilities: Performs a full range of accounting duties using double-entry accrual accounting methods.

Classifies and verifies a wide variety of accounting documents in order to assure their mathematical correctness, completeness of information, and to prepare control sheets with appropriate accounting codes.

Maintains double-entry bookkeeping journals and subsidiary ledgers, posting entries to establish accounts.

Prepares monthly balances, reconciles accounts, and transcribes to general ledger for closeout of all accounts.

Traces discrepancies, if necessary, to posting documents, computes operational expenses incurred by individual activities for accounting services provided, and assigns charges appropriately.

Reports prepared may include profit and loss statements, financial statements, and miscellaneous financial reporting data. Performs other related duties as assigned.

If interested in applying for this position you may preview the online application: https://apply.usastaffing.gov/ViewQuestionnaire/12920923

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Posted on USAJOBS: 3/24/2026 | Added to FreshGovJobs: 3/25/2026

Source: USAJOBS | ID: 26-8EFSR244951