Associate Private Wealth Advisor The Bahnsen Group LLC
- Full-time
| Location | Phoenix, AZ |
| Industry | Computer Software |
| Salary | $19.20–$23 Per Hour |
| Company Size | 1,000 to 1,499 employees |
| Website | http://www.liquidityservices.com/company/careers |
The onsite Finance Associate in the Sierra Auction business unit plays a critical role in supporting end-to-end financial operations, including payment processing, collections, reporting, and customer account management. This position ensures the accurate and timely application of payments, resolution of billing discrepancies, and maintenance of financial records in support of auction operations.
Serving as a key liaison between customers, operations, and accounting, the Finance Associate delivers a high level of customer service while safeguarding the integrity of financial transactions. The role supports business performance by mitigating financial risk, ensuring compliance with tax and regulatory requirements, and contributing to accurate daily, weekly, and monthly sales reporting.
Liquidity Services (NASDAQ: LQDT) operates the world's largest B2B e-commerce marketplace platform for surplus assets, with over $15 billion in completed transactions to more than 6 million qualified buyers worldwide and 15,000 corporate and government sellers. It supports its clients' sustainability efforts by helping them extend the life of assets, prevent unnecessary waste and carbon emissions, and reduce the number of products headed to landfills.
Education/ Experience:
High School Diploma/GED preferred
2+ retail cash handling experience preferred
Skills and Ability:
Work Conditions/ Physical Demands:
Travel:
Pay & Benefits:
Compensation is determined by various factors such as location, education, knowledge, skills, competencies, and experience, as well as internal and external equity and organizational needs. Additionally, this role is eligible for an annual discretionary bonus.
The salary range for this position is $19.2 to $23 hourly. The posted range reflects our national average range for the job. We may ultimately pay more or less than the published range based on the factors mentioned above. This range may be modified in the future.
At Liquidity Services, we provide a comprehensive benefits package that supports our employees'' well-being and provides growth opportunities and career development. Our offerings include:
Disclaimer: The above statements are intended to describe the general nature and level of work being performed. They are not intended to be construed as an exhaustive list of all responsibilities, duties and skills required of personnel so classified. Liquidity Services Inc. reserves the right to modify position duties at any time due to business necessity.
Liquidity Services is an Equal Opportunity Employer.
Generate and distribute accurate invoices to customers in a timely manner
Apply and reconcile payments across multiple payment sources with a high degree of accuracy
Review prior-day payment activity to validate correct application and identify discrepancies
Resolve invoicing issues, payment discrepancies, and account variances in a timely and professional manner
Proactively manage outstanding receivables by contacting customers to resolve unpaid invoices and secure payment
Negotiate resolution options for unpaid items to support revenue recovery and minimize financial loss
Process refunds and ensure accurate documentation to support audit and compliance requirements
Respond to inbound customer inquiries (phone, email, and in-person) with professionalism and urgency
Provide clear guidance and resolution on billing, payments, and account-related concerns
Review and approve customer registrations to ensure accuracy and compliance with company standards
Determine applicable tax liabilities on invoices and ensure required documentation is collected and maintained
Mitigate financial risk by reviewing high-value transactions and identifying potential fraud indicators
Maintain accurate records and supporting documentation for audit readiness and internal controls
Support accurate financial reporting by maintaining up-to-date sales data for daily, weekly, and monthly reporting
Reconcile merchant accounts and incoming buyer cash receipts to ensure financial accuracy and completeness
Identify and escalate discrepancies to ensure timely resolution
Maintain petty cash and prepare monthly reporting
Complete new supplier set up in accounting systems, ensuring accuracy and compliance with internal requirements
Perform other duties as assigned to support business operations and team objectives
Generate and distribute accurate invoices to customers in a timely manner
Apply and reconcile payments across multiple payment sources with a high degree of accuracy
Review prior-day payment activity to validate correct application and identify discrepancies
Resolve invoicing issues, payment discrepancies, and account variances in a timely and professional manner
Proactively manage outstanding receivables by contacting customers to resolve unpaid invoices and secure payment
Negotiate resolution options for unpaid items to support revenue recovery and minimize financial loss
Process refunds and ensure accurate documentation to support audit and compliance requirements
Respond to inbound customer inquiries (phone, email, and in-person) with professionalism and urgency
Provide clear guidance and resolution on billing, payments, and account-related concerns
Review and approve customer registrations to ensure accuracy and compliance with company standards
Determine applicable tax liabilities on invoices and ensure required documentation is collected and maintained
Mitigate financial risk by reviewing high-value transactions and identifying potential fraud indicators
Maintain accurate records and supporting documentation for audit readiness and internal controls
Support accurate financial reporting by maintaining up-to-date sales data for daily, weekly, and monthly reporting
Reconcile merchant accounts and incoming buyer cash receipts to ensure financial accuracy and completeness
Identify and escalate discrepancies to ensure timely resolution
Maintain petty cash and prepare monthly reporting
Complete new supplier set up in accounting systems, ensuring accuracy and compliance with internal requirements
Perform other duties as assigned to support business operations and team objectives


