Accountant Staff

Frederick HealthFrederick, MD
Onsite

About The Position

Supports, and is responsible for incorporating into job performance, the Frederick Health (FH) mission, vision, core values and customer service philosophy and adheres to the FH Compliance Program, including following all regulatory requirements and the FH Standards of Behavior. Example of Essential Functions: Participates in the preparation of the monthly financial statements for Frederick Health and subsidiaries. Participates in compiling and preparing deliverables for annual audit of financial statements. Record and post general ledger transactions, including cash receipts, pharmacy transactions, and refunds. Perform daily and monthly reconciliations of cash, bank, and credit accounts to ensure accuracy. Process and coordinate electronic fund transfers. Coordinate and reconcile virtual payable program.

Requirements

  • Demonstrated proficiency of computer skills necessary to effectively complete position requirements to include Microsoft Office applications with an emphasis on Excel, Word, and Outlook.
  • Effective problem-solving and analytical skills to discover discrepancies and to install best practices.
  • Excellent communication, organization, and customer service skills to both internal and external customers.
  • Ability to extract and formulate data for reporting analysis.
  • Experience with large enterprise-wide financial systems.
  • Bachelors degree in accounting
  • One to three years experience in accounting

Nice To Haves

  • Maryland hospital experience preferred.

Responsibilities

  • Participates in the preparation of the monthly financial statements for Frederick Health and subsidiaries.
  • Participates in compiling and preparing deliverables for annual audit of financial statements.
  • Record and post general ledger transactions, including cash receipts, pharmacy transactions, and refunds.
  • Perform daily and monthly reconciliations of cash, bank, and credit accounts to ensure accuracy.
  • Process and coordinate electronic fund transfers.
  • Coordinate and reconcile virtual payable program.
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