Senior Accountant

Health Trust IncSan Jose, CA
12dHybrid

About The Position

Under the general supervision of the CFO, Controller, Assistant Controller, or Accounting Manager, this position supports multiple nonprofit back-office accounting clients as provided by FASS's back-office accounting services. The position applies principles of accounting and financial analysis in order to maintain the general accounting systems; reconcile general ledger accounts, prepare journal entries, maintain balance sheet schedules, prepare financial statements, provide payroll and billing / grant billing functions, develop budgets, financial and variance analysis, and perform other duties as required.

Requirements

  • Bachelor degree in Accounting or closely related field or equivalent combination of training and experience.
  • Minimum two years of general ledger accounting; ability to resolve complex accounting problems and prepare financial analysis.
  • Knowledge of generally accepted accounting principles, including the differences between for-profit and nonprofit accounting.
  • High level of customer service orientation and ability to communicate effectively with people at all levels both orally and in writing.
  • Analytical skills required to assist in the development and maintenance of the accounting and finance related tasks.
  • In-depth knowledge of general ledger accounting, budgeting and financial analysis techniques.
  • Advanced proficiency of Microsoft Excel and Word. Ability to efficiently and effectively utilize accounting software.
  • Excellent organization skills and ability to complete tasks by deadlines.
  • Utmost attention to accuracy and detail.
  • Enthusiasm to learn and work as a part of a team.
  • Due to the confidential nature of our work, must be able to maintain confidential information and exhibit a high level of professional integrity, meet professional standards and exercise good judgment at all times.
  • Must have own personal automobile available for daily use, car insurance as required by the State of California, and a valid California driver’s license.
  • Employment background screening required.

Nice To Haves

  • CPA in good standing

Responsibilities

  • Follow FASS policies, procedures, and internal controls, including the protection and confidentiality of client data.
  • Review and approve journal entries, reconciliations, and financial statements prepared by Accountants and Accounting/Finance Associates.
  • Perform complete month-end and year-end accounting close process for multiple nonprofit clients with minimal supervision.
  • Prepare client financial statements including Statements of Activities, Financial Position and Cash Flows, and dashboards along with complete financial reporting package as tailored for each client.
  • Perform monthly reconciliations for bank and investment accounts and all other balance sheet general ledger accounts.
  • Prepare monthly, quarterly, and annual journal entries, as required.
  • Prepare complex grant related billings to State, County, City, Federal agencies with all supporting documentation to be filed with the billing invoice in accordance with Federal OMB A-133 requirements.
  • Process accounts payable invoices by verifying that proper approvals have been obtained and that appropriate supporting documentation is attached.
  • Process checks, stop payments and voids, when needed.
  • Prepare basic full-cycle payroll for one or more non-profit organizations and maintain payroll system as necessary for changes in employee earnings and deductions.
  • Provide excellent customer service to clients and respond to client inquiries timely.
  • Process accounting information in accordance with internal control processes.
  • Train program directors/ managers in budget development for their departments and assist them in understanding their financial statements.
  • Assist in preparation of annual operating budgets and financial analysis for the Executive Director(s), and program staff including feasibility studies, grant related reports and other requests, as needed.
  • Analyze actual to budget variances on a monthly basis and assist in resolving and / or explaining the variances as well as variance analysis on individual accounts.
  • Keep the FASS leadership team informed on the status of the financial condition and other operations of the clients.
  • Support annual reviews, audits, and tax return preparation by providing relevant schedules and supporting documents from the accounting records.
  • Train new staff and cross-train other FASS staff on clients to enable appropriate client coverage when on PTO.
  • Contribute to the annual staff evaluations for co-workers who work on your clients.
  • Other duties as assigned.
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