Auto Generated UID (For Official Use Only):
26-04-01375197905
O*NET Job Zone:
Job Zone 4
O*NET Job Code:
13-2011.00
Work Days Per Week:
Monday, Tuesday, Wednesday, Thursday, Friday, Saturday
Work Hours Per Week:
38
Estimated Work Hours Per Day:
6
Hourly Work Schedule Per Day:
Monday to Friday: 8:45 a.m. to 4:45 p.m.
Saturday: 9:00 a.m. to 12:00 p.m.
Are Hours Per Day Flexible?:
No, hours are set.
Payment Frequency:
Bi-Weekly
Estimated Annual Salary (If value is 0, employer did not provide):
0
Opening Date of Announcement:
04/01/2026
Closing Date of Announcement:
05/01/2026
Anticipated Start Date of Employment:
00/00/0000
Anticipated Closing Date of Employment:
00/00/0000
Number of Job Openings:
1
Job Location:
Saipan
Job Location Address:
G/F, J.E.T. Bldg., Chalan Pale Arnold, Gualo Rai, Saipan, Commonwealth of the Northern Mariana Islands
FLSA Covered?:
Yes
DOD or VEVRAA Related?:
No
Overtime Available?:
Yes, overtime rate calculated at 1.5x per hour
Payroll Deductions:
Federal Income Tax, State Income Tax, Social Security (FICA), Medicare Tax
Job Qualification Requirements:
Must have a Bachelor's Degree in Accounting; Must have a minimum of 24 months of work experience as an Accountant in a banking environment setting; Must have a strong understanding of Generally Accepted Accounting Principles (GAAP); Ability to prepare financial statements; Knowledge of banking regulatory compliance and financial reporting processes; Knowledge of loan accounting principles including funding, billing, payment processing and the preparation of month-end reports; Knowledge of loan transaction general ledger accounting; and Must be proficient in Microsoft Office Suite (Excel, Word, PowerPoint).
* Strong analytical, math and auditing skills.
Additional Job Information: Benefits, Required Tools, Supplies, etc.:
In addition to the information provided above, the employer is providing the following additional job information:
The name of the employer is City Trust Bank, Inc.
This job opportunity is for a Permanent and Full-Time Position.
Job Location: G/F J.E.T. Bldg., Chalan Pale Arnold, Gualo Rai, Saipan, Commonwealth of the Northern Mariana Islands (CNMI). Selected applicant for the job opportunity will need to travel to and reside in Saipan, CNMI to perform the services or labor required by the job opportunity.
Housing Provided: No.
Food Provided: No.
Daily Transportation to and from the Worksite: n/a
Fringe Benefits: None.
Tools, Supplies, and Equipment: The employer will provide to the worker, without charge or deposit charge, all tools, supplies, and equipment necessary to perform the duties assigned.
Interested applicants may submit their applications, comprehensive resume, with complete supporting credentials at the office of City Trust Bank, Inc. located at the G/F, J.E.T. Bldg., Chalan Pale Arnold, Gualo Rai, Saipan, CNMI. Applicants may also submit their applications and supporting credentials via email at: citytrustbank@ctbsaipan.com Applicants may also call telephone no: (670) 235-7701. Applications may be submitted at the office of City Trust Bank, Inc. from Monday to Friday, 9:00 a.m. to 4:00 p.m.
Job Posting Type:
New
Visa Type:
PERM
H-1A/H-2A/H-2B Related?:
Not Applicable
Staff Notes (For Official Use Only):
Confirmed by DC. 04/01/2026
Record, classify, and reconcile daily banking transactions, including loans, deposits, interest income, fees, and expenses; Prepare and maintain financial statements, such as balance sheets, income statements, and cash flow reports; Account for loan-related activities, including interest accruals, loan loss provisions, charge-offs, and recoveries; Ensure compliance with generally accepted accounting principles (GAAP) or applicable accounting standards and regulatory requirements; Ensure bank’s compliance with federal, state, and local financial regulations; Prepare regulatory, management, and internal financial reports; Monitor and maintain internal controls to safeguard bank assets and ensure accuracy of financial data; Reconcile general ledger accounts and investigate discrepancies; Support budgeting, forecasting, and financial analysis activities; Prepare tax returns and ensure timely payment of taxes; Assist with other statutory financial filings, as applicable; Perform monthly, quarterly, and yearly account reconciliations; Analyze financial data to identify trends, discrepancies, and financial risks; Assist in the development of organizational financial strategies; and Assist with internal and external audits by providing documentation and explanations as required.