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Entry Level Transaction Coordinator Jobs in Tennessee

Entry Level Transaction Coordinator information

What is an entry level transaction coordinator?

Entry level transaction coordinators are professionals, often in the real estate industry, who assist with managing the administrative tasks involved in property transactions. Their responsibilities typically include coordinating document flow, scheduling appointments, communicating with clients and stakeholders, and ensuring all paperwork is completed accurately and on time. This role is crucial for keeping transactions organized and moving smoothly from contract to closing, making it a great starting point for those interested in real estate or office administration.

What are the key skills and qualifications needed to thrive as an entry level transaction coordinator?

To thrive as an Entry Level Transaction Coordinator, you need strong organizational skills, attention to detail, and a basic understanding of real estate or administrative processes, often supported by a high school diploma or equivalent. Familiarity with customer relationship management (CRM) software, document management systems, and e-signature platforms like DocuSign is typically required. Effective communication, problem-solving, and time management are vital soft skills that help you coordinate with clients, agents, and other stakeholders. These abilities ensure smooth transaction processes, minimize errors, and enhance client satisfaction in a fast-paced real estate environment.

What are some common challenges faced by entry level transaction coordinators, and how can they be effectively managed?

Entry-level Transaction Coordinators often face challenges such as managing multiple deadlines, maintaining accurate documentation, and coordinating communication between various parties like buyers, sellers, agents, and lenders. Effective time management and organizational skills are key to handling these responsibilities. Utilizing transaction management software and developing clear communication channels within the team can significantly improve workflow and reduce errors. Seeking mentorship from experienced colleagues can also help you navigate complex situations as you build confidence in the role.

What is the difference between Entry Level Transaction Coordinator vs Real Estate Assistant?

AspectEntry Level Transaction CoordinatorReal Estate Assistant
CredentialsNone required, some familiarity with real estate processesNone required, may have real estate license or coursework
Work EnvironmentReal estate offices, title companies, escrow firmsReal estate offices, property management firms
Employer & Industry UsageReal estate brokerages, teams, and agenciesReal estate brokerages, property management companies
Common Search & ComparisonYesYes

While both roles support real estate transactions, an Entry Level Transaction Coordinator primarily manages transaction processes, deadlines, and documentation. A Real Estate Assistant often handles broader administrative tasks, client communication, and marketing. The Transaction Coordinator role is more focused on transaction-specific duties, whereas the Assistant may have a wider range of responsibilities within the real estate office.

What are popular job titles related to Entry Level Transaction Coordinator jobs in Tennessee?

For Entry Level Transaction Coordinator jobs in Tennessee, the most frequently searched job titles are:

Infographic showing various Entry Level Transaction Coordinator job openings in Tennessee as of August 2026, with employment types broken down into 1% As Needed, 87% Full Time, 10% Part Time, 1% Temporary, and 1% Contract. Highlights an 81% Physical, 2% Hybrid, and 17% Remote job distribution.

Full-time

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Job description

Posting Details
Position Information
Position Title
Accountant I
Division
Business and Finance
Department
General Accounting and Financial Reporting
Number of hours per week
Days to be worked
Months per year
Fiscal (12 months)
If modified, list months
Job Type
Full-Time
Campus
Main Campus
If other location, please indicate
Position Number
006600
Advertised Salary
Pay Basis
Monthly
Job Description
Tennessee State University invites applicants for the role of Accountant I who will support the University's accounting functions, including daily bank account reconciliation, cash activity review, general ledger, financial reporting, audit support, and compliance. This position performs entry-level professional accounting work, assists with reviewing and reconciling financial activity, prepares assigned reconciliation support and accounting documentation, researches routine discrepancies, and helps ensure financial transactions are accurate, timely, properly documented, and aligned with University policies, accounting standards, and internal control requirements.
This role works closely with university departments, banks, vendors, payroll, accounts payable, accounts receivable, auxiliary units, auditors, and General Accounting to support daily financial operations, accurate reporting, audit readiness, and effective stewardship of university resources.
Essential Job Functions
Daily Bank Accounts Reconciliation
• Assist with daily reconciliation of bank transactions, cash activity, deposits, credit cards, EFT/ACH, wires, receipts, and related general ledger activity to help ensure items clear accurately and timely.
• Identify, research, and document routine reconciling items such as unrecorded deposits, returned checks, bank fees, rejected payments, and other adjustments; escalate complex items as appropriate.
• Assist with the timely preparation of assigned monthly bank reconciliations for review and approval.
• Monitor aging reconciling items, follow up with departments, banks, and third parties, and provide status updates for management review.
• Provide information to auditors, regulatory agencies, and other authorized parties in support of year-end reconciliations and audit request.
General Accounting Duties
• Prepare routine journal entries and accounting corrections with proper documentation, approvals, account coding, and compliance with University policies and accounting standards.
• Review cash receipt transactions for proper account classification and coordinate corrections as needed.
• Reconcile assigned general ledger and balance sheet accounts and help ensure financial transactions are accurately recorded in Banner or other approved systems.
• Assist in coordinating financial activities related to auxiliary units and support departments with routine transaction issues, coding questions, missing documentation, pending approvals, and other financial matters.
• Assist with payroll-related entries and monthly, quarterly, and year-end close activities as assigned.
Audit, Compliance, and Internal Controls
• Provide documentation, explanations, and support for internal audit and external audit requests, and maintain assigned workpapers in accordance with applicable audit and record-retention standards.
• Assist supervisor in audit responses, including research, documentation, explanations, corrective actions, and follow-up items as assigned.
• Review assigned transactions for errors, inconsistencies, unusual activity, or potential control concerns and escalate issues as appropriate.
• Follow internal controls, segregation of duties, approval requirements, confidentiality expectations, and applicable University policies and procedures.
Transaction Processing and Operational Support
• Process and review routine accounting transactions related to accounts payable, accounts receivable, payroll, general ledger activity, travel, and departmental financial operations.
• Serve as backup support for check runs, ACH activity, wire processing, direct deposit activity, and other banking or payment transactions as assigned.
• Assist with daily financial operations, transaction processing workflows, auxiliary unit financial activity, and departmental accounting support.
Analysis, Communication, and Continuous Improvement
• Research routine accounting discrepancies, reconciliation issues, transaction variances, and other financial questions.
• Communicate professionally with departments, vendors, banking partners, auditors, regulatory agencies, and other stakeholders to resolve financial matters and respond timely to inquiries.
• Support process documentation and standardization, process improvement efforts, and special projects.
• Perform other related duties and special projects as assigned to meet departmental and University financial management objectives.
Preferred Qualifications
• Experience with bank reconciliations, cash activity review, ACH activity, wire transfers, payment processing, or related accounting transactions.
• Experience using Banner or a similar enterprise resource planning system.
• Experience supporting monthly close, year-end close, audit documentation, financial schedules, management reporting, process improvement, or internal control procedures.
• Experience working in a high-volume accounting, finance, payroll, cashiering, accounts payable accounts receivable, or business office environment.
This job description intends to provide a representative summary of the type of duties and responsibilities that will be required of the position given this title and shall not be construed as a disclaimer of the specific duties and responsibilities of any particular position. Employees may be requested to perform job-related tasks other than those specifically presented in this job description.
Minimum Qualifications
• Bachelor's degree in Accounting, Finance, Business Administration, or a closely related field.
• One year of experience in accounting, bookkeeping, bank reconciliation, cash management. financial reporting support, accounts payable, accounts receivable, payroll accounting, public accounting, or a related accounting function.
• Proficiency with Microsoft Excel, Microsoft Teams and other standard office software.
• Ability to analyze financial transactions, research discrepancies, reconcile accounts, and resolve routine accounting or cash-related issues.
• Ability to prepare journal entries, reconciliation support, financial schedules, and supporting documentation in accordance with established policies. procedures, and internal controls.
• Ability to communicate effectively and professionally, both verbally and in writing.
• Ability to work effectively with internal departments, banking partners, vendors, students, auditors, or other stakeholders to resolve payment, reconciliation, or accounting issues.
• Basic knowledge of generally accepted accounting principles, reconciliation practices, and internal control requirements.
Special Instructions to Applicants
Employment is contingent upon successfully completing a criminal background check as mandated by Tennessee State University.
Official transcripts for positions which require a post-secondary undergraduate degree, advanced degree and/or certification must be presented upon hire.
An unofficial transcript may be attached in the "Transcript" section.
You will be required to provide names and contact information for three references during your application to the posting. If you are the recommended candidate for the position, our online hiring system will automatically generate solicitation for these letters using contact information you provided.
Open Date
07/13/2026
Close Date
07/27/2026
Job Category
Administrative/Professional
Requisition Number
Benefits
Tennessee State University offers eligible employees a competitive benefits package that includes annual leave (vacation), sick leave, medical, dental, vision, life insurance, retirement, flexible benefits plans and more.
Quick Link
https://jobs.tnstate.edu/postings/10902