FISCAL ADMINISTRATOR

Franklin County Municipal CourtColumbus, OH

About The Position

The Fiscal Administrator directs all financial, strategic budgeting, and forecasting operations for the Municipal Court Clerk’s Office. This role acts as the principal liaison to the City department of Finance and the City Auditor's office to ensure complete alignment with municipal financial policies. The administrator is responsible for long-term strategic forecasting, quarterly operational reviews, the structural development of the Clerk's multi-layered budgets, and the preparation and oversight of departmental legislation.

Requirements

  • Bachelor’s degree in accounting, Finance, Public Administration, or a closely related field.
  • Four years of progressive experience in governmental accounting, with a demonstrated background in legislative preparation, multi-year financial forecasting, and split City/County intergovernmental budgeting.
  • Proficient, working knowledge of the city's DAX financial system (Microsoft Dynamics AX).
  • Proven ability to research, draft, and interpret municipal legislation, resolutions, and local ordinances.
  • Advanced knowledge of municipal fund accounting practices, GAAP, and internal control frameworks.
  • Advanced ability to build complex, long-term financial models and revenue projection tools.
  • Experience managing specialized court technology (Computer) and specialized enforcement (Collections) funds.
  • Strong capabilities in interpreting court orders, statutory laws, local city charters, and cost-sharing county/city agreements.

Nice To Haves

  • A Master’s degree (MBA, MPA, or Master of Accountancy) or a Certified Public Accountant (CPA) designation is highly preferred.

Responsibilities

  • Formulate, execute, and monitor the Clerk’s comprehensive Three-Year Strategic Plan.
  • Plan and prepare Three-Year Revenue Forecasts and Yearly Revenue Plans based on statutory changes, case filings, and historical trends.
  • Conduct rigorous Quarterly Reviews to evaluate financial performance against projections and recommend operational adjustments.
  • Plan, create, and oversee distinct operational budgets for the General, Computer (Technology), Procurement and Collections funds.
  • Collaborate directly with City Auditors to reconcile ledgers, coordinate annual external audits, and guarantee absolute transparency.
  • Assist with the planning fiscal legislation, appropriations requests, and resolutions for city council or county commissioner approval.
  • Manage daily general ledger accounting, accounts payable, accounts receivable, and court payroll reconciliation.
  • Leverage the city's DAX financial system to track expenditure, generate financial reports, and maintain general ledger integrity.
  • Design and enforce internal financial controls to safeguard public assets and secure clean municipal and state audit findings.
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