Accountant I - WCPOFS

Weill Cornell Medical CollegeNew York, NY
22d

About The Position

Responsible for preparation of various managerial financial reports and all related general accounting functions. This is a shared role with Weill Cornell Medicine's Physician Organization and Financial Management Department.

Requirements

  • Bachelor’s degree, in Accounting or Finance preferred.
  • Approximately 3 years of experience in an accounting or finance position.
  • Excellent communication skills (both verbal and written).
  • Advanced time management and organizational skills
  • Advanced analytical skills to synthesize a high volume of information from a variety of sources and perform complex analysis to interpret financial data.
  • Ability to produce professional-level documentation and reporting using Microsoft Office 365
  • Operational knowledge of computerized accounting systems and diverse SAP
  • Ability to work across functional lines to resolve issues.

Responsibilities

  • Responsible for reconciling monthly Finance-External Affairs (EA) Gift Variance Report.
  • Serves as liaison between Finance and EA to resolve variance issues, record gift variances and prepare gift transfers for WCM, CU Ithaca and NYPH as needed.
  • Assists in preparation of all adjusting, closing entries and transfers for routine, month and year-end, including all appropriate analyses and documentation.
  • Responsible for preparation of monthly reconciliations of the Distribution Pending account, to ensure that items are properly recorded to the General Ledger.
  • Maintains capital projects funds: establish budget on PAR, and journalizes funding source as required.
  • Monitors and reconciles clearing account for the daily activity for PO clinical sites.
  • Reconciles and resolves any outstanding items accurately, reliably and timely.
  • Monitors health information system's transactions daily to ensure proper handling of cash and checks.
  • Maintains detailed reports for responsible clinical sites, identifying deposits, checks, outstanding activity and cleared items.
  • Responsible for finding, reconciling and resolving variances and discrepancies within the Cash Control reconciliation process.
  • Works with clinical department supervisors to understand and resolve issues and investigate variances.
  • Monitors and reconciles daily Open Cash Drawer report and corresponds with clinical departments to close cash drawers.
  • Monitors weekly Generate Deposit report and ensures that pending deposits are taken to bank and are generated in the system.
  • Confirms received deposits on the Billing System, reconciles the weekly “Confirmed Deposit Report”, creates Journal Entries for all deposited transactions and sends to WCM Treasury Accountant for confirmation and posting.
  • Gathers supporting documentation; compiles for auditors to check internal cash control procedures.
  • Reconciles monthly Cash Clearing Account that shows other income and deposits for both internal and external clinical locations.
  • Performs other related duties as assigned.
  • Provides additional backfill support to the General Accounting staff as required.
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