The Interfund Accountant is responsible for the reconciliation of Investment in Cash Pool activity, analysis and reporting on Interfund, Due to From Other Governments, Operating and Sinking Funds, Earnings/Expense Allocations as well as reconciling the entire trial balance activity for targeted funds held by the City. This position is also responsible for managing the Aging of Interfund and Reimbursement to and from the City’s Cash Pool. In addition, the Interfund Accountant responsibilities include the monthly general ledger close as well as other balance sheet and income statement analysis.
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Job Type
Full-time
Career Level
Mid Level