Staff Accountant - Onsite (New Jersey)
Athari
Neptune Township, new jersey
Job Details
Full-time
Full Job Description
The Finance operation is a small team, and this position requires an organized and analytical team player to be engaged in a range of financial activities. The primary responsibility will be assisting the Controller with managing Accounts Payable. Other responsibilities may include day-to-day accounting activities and account reconciliations as described below. The successful candidate will have operational experience and a proven track record of proactive problem-solving.
Accounts Payable
- Insures accounts payable, expense reports, and disbursements comply with operating procedures and internal controls.
- Communicates procedures to staff members for compliance.
- Analyzes bills upon receipt – verifies accuracy, matches with purchase orders, determines appropriate accounts, notifies suppliers of tax exemption as needed.
- Records vendor bills in Ceres (accounting system).
- Prepares checks for signature upon receipt of appropriate documentation.
- Prepares mailing of signed checks to vendors.
- Prepares, processes and records ACH payments.
- Manages vendor records by reconciling monthly statements as appropriate.
- Administers petty cash/gift cards, ensures expense documentation is correct and complete, reconciles and replenishes accounts as needed.
Finance and Accounting
- Reconciles general ledger transactions with donor database (Raisers Edge) and investigates discrepancies.
- Supports month-end and year-end close process.
- Prepares schedules for and participates in annual audit.
- Protects the organization's value by keeping information confidential.
Grant Management
- Prepares grant cost reports as needed for various government awards.
- Prepares journal entries to record expense allocations for programs/grants.
- Assists as a backup for monthly performance reports to government funders.
- Assists with various tasks associated with grants management.
Inventory Management
- Participates in annual physical inventory.
- Acts as backup for monthly Navision/Ceres close.
Miscellaneous:
- Maintains Finance Department filing system
- Maintains file retention system.
- May perform various tasks associated with special projects or events.
- Updates job knowledge by participating in educational opportunities.
Requirements
- At least five years of accounting experience, preferably in a non-profit environment, including two years in an accounts payable role.
- Demonstrated knowledge of accounts payable, accounting procedures and principles.
- Experience with general ledger functions and the month-end/year-end close.
- Strong proficiency in Office 365 products (particularly Excel, MS Teams, and MS Word) is essential.
- Experience with pivot tables and vlookup a plus.
- Experience with Food Bank operations and/or CERES 4.5 Software is a plus.
- Strong organizational and communications skills.
- Ability to collaborate and work effectively with team members of diverse backgrounds.
- Be a highly organized, creative problem-solver with strong analytical, quantitative and interpersonal skills.