Accounting Manager

Japan Society, IncNew York, NY
Hybrid

About The Position

Japan Society is seeking a highly analytical, hands-on Accounting Manager to serve as the operational hub for our Finance team. Reporting directly to the Finance Controller, this role is designed for a driven nonprofit accounting professional who thrives at both the transactional level and in high-level reporting. You will be responsible for ensuring the absolute integrity of our general ledger, supervising the accounts receivable architecture, and acting as the primary liaison for our investment portfolio reporting. If you possess a demand for radical clarity, accuracy, and strong internal controls, this is an opportunity to drive the financial operations of a legacy New York institution.

Requirements

  • Bachelor's degree in Accounting, Finance, or a highly related field.
  • Minimum of 5 years of progressive accounting experience, with mandatory formal experience in the nonprofit sector.
  • At least 2 years in a managerial or supervisory capacity is highly preferred.
  • High proficiency in accounting software (MIP preferred) and CRM architecture (Raiser's Edge preferred).
  • Advanced Microsoft Excel skills are essential.
  • Proven track record of managing and reconciling organizational investment portfolio reports.
  • Strong experience navigating internal controls and participating in financial audits is required.
  • Must possess full legal authorization to work in the United States. Japan Society cannot provide sponsorship for this role.

Nice To Haves

  • At least 2 years in a managerial or supervisory capacity is highly preferred.
  • MIP preferred
  • Raiser's Edge preferred

Responsibilities

  • Supervise and manage the full-cycle accounts receivable process, ensuring all incoming funds (grants, donations, program fees) are accurately processed and reconciled.
  • Maintain the chart of accounts, generate new G/L accounts and project codes, and ensure the structural integrity of all recorded transactions.
  • Execute complex monthly reconciliations for all bank accounts (including USD and YEN), balance sheet accounts, and restricted funding ledgers.
  • Prepare and post critical monthly journal entries related to bank activity, investment activity, and other adjustments.
  • Oversee the reporting, tracking, and reconciliation of the organization's investment portfolio.
  • Serve as the primary liaison with fund managers and our Outsourced Chief Investment Officer (OCIO).
  • Generate monthly investment performance and private equity tracking reports for the Controller and CFO.
  • Direct all cash management protocols, including bank deposits, cash box and petty cash reconciliations, and initiating outgoing bank wires.
  • Partner with the Controller to prepare internal financial statements for cross-functional program departments.
  • Ensure rigorous internal controls and strict compliance with nonprofit accounting standards.
  • Manage quarterly NYS sales tax filings and assist with annual 1042s preparation.
  • Provide administrative support and assist the Controller and CFO with special projects as required.
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