Grant Manager

City of Goldsboro
$75,601 - $94,702Onsite

About The Position

Oversees the life cycle of the grant from application to closeout. Provides technical guidance and direction to staff regarding grants. Performs a variety of general accounting activities including accounting operations, financial reporting for special revenue funds (SRFs), and economic development component units (4A and 4B). Applicants are required to attach a resume and cover letter.

Requirements

  • Bachelor’s degree in accounting or business or a related field with coursework in governmental accounting.
  • Five (5) years of full-time increasingly responsible work in a government or grant accounting environment.
  • Knowledge of: Generally accepted accounting principles (GAAP).
  • Knowledge of: Governmental accounting principles and methods.
  • Knowledge of: Internal Revenue Service (IRS) regulations.
  • Knowledge of: Fair Labor Standards Act (FLSA).
  • Knowledge of: Texas law as it relates to City finances.
  • Knowledge of: Automated financial management systems.
  • Knowledge of: Modern office methods, practices, procedures, and equipment.
  • Skill in: Working with FEMA, TDEM, and other grantors to ensure grant compliance.
  • Skill in: Preparing a variety of financial statements, reports and analyses.
  • Skill in: Communicating effectively, both orally and in writing.
  • Skill in: Using computer accounting and spreadsheet software.
  • Skill in: Examining and verifying financial documents and reports.
  • Skill in: Analyzing, interpreting and preparing financial and statistical information for City management.
  • Skill in: Applying accounting formulas, performing calculations sufficiently to prepare budgets, verifying totals, and reconciling differences.
  • Skill in: Comprehending complex oral and written instructions and technical terminology, working accurately with numerical detail.
  • Skill in: Establishing and maintaining effective working relationships.
  • Skill in: Reading financial reports, professional journals, and inter and intra-office correspondence, educational, and leadership materials.
  • Skill in: Composing narrative portions of the annual budget and of other reports; writing memos and letters.
  • Skill in: Understanding and interpreting complex financial and mathematical reports and presentations.
  • Skill in: Analyzing data and preparing financial forecasts and developing related spreadsheets.
  • Valid Class "C" Texas driver’s license required. Out-of-state license holders must have a valid license and provide a three-year driving history.

Nice To Haves

  • Certified Government Finance Officer (CGFO) or CPA preferred.

Responsibilities

  • Responsible for reviewing applications, reporting requirements, reimbursement requests, and grant compliance.
  • Responsible for grant receivable and revenue reconciliations.
  • Prepare and present annual grant policy training to City staff.
  • Prepare quarterly grant report for Council and interim and final schedule of expenditures of federal awards (SEFA)
  • Coordinates and manages testing of new and existing functionality for the Workday system for AP, AR, and Payroll within Accounting and with other departments (i.e. Human Resources, Purchasing).
  • Prepares various journal entries and schedules; enters and reviews journal entries for inconsistencies and possible irregularities; reviews schedules for accuracy.
  • Reviews transactions for adherence to City policies, including coordination of the City’s internal audit program through planning, performing, and reporting on the City’s audit of internal processes.
  • Prepares monthly entries related to transfers per current budget, monthly expense allocations and other needed monthly adjustments/entries.
  • Prepares monthly and quarterly financial reports for SRFs review by the Controller; makes recommendations to improve procedures and accountability.
  • Prepares various journal entries and schedules; reviews journal entries for inconsistencies and possible irregularities and enters them.
  • Reports on and monitors the CIP accounts on a project accounting basis for SRFs and component units.
  • Records fixed assets into the appropriate funds with the appropriate useful life.
  • Monitors financial transactions to ensure proper accounting of public funds.
  • Participates in the annual external audit by ensuring all documents and schedules are prepared and available.
  • Assist with the annual year-end financial system closeout process ensuring all general ledger reconcilements, accruals, and various year-end adjustments and entries are accurate and complete.
  • Ensures that daily accounting activity is accurate and thorough.
  • Prepares financial statements and related notes for the City’s Annual Comprehensive Financial Report (AFR) as needed.
  • Makes recommendations to resolve issues and improve procedures, processes and accountability related to financial matters throughout the City departments.
  • Performs other duties as assigned.
  • Provides primary backup support for expense software.
  • Provides backup support for daily cash reporting.
  • Reconciliation of GL accounts, grant funds, economic development agreements, and other areas as needed.
  • Prepares grant folders, reviews grant expenditures and covenants for compliance, and reconciles and prepares reports for quarterly report, and annual SEFA (if required).

Benefits

  • Check out the benefits of working with us here.
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