Responsible for a variety of complex accounting activities relating to the general ledger, department expenses, and financial statements. Work cooperatively and collaboratively with all levels of employees, management, and external agencies to maximize performance, problem solving, and results. Tasks will include responsibilities related to Contracts, Ecommerce, and Sales Data Capture departments of NIB accounting/finance team.
Business Communications
Banking Institutions EFT Files, Bank Statement Requests As Needed
Agencies Payment Requests/Invoice Questions As Needed
NIB/Contract Department Government Contract Requests As Needed
Education
Bachelor’s degree in Accounting or related discipline from a regional accredited university or college; CPA or CPA candidate preferred.
Training and Specialized Knowledge
Comprehensive knowledge of standard month-end and year-end close processes; typical general ledger account reconciliation processes.
Core Competencies
Accountability
Communication Skills
Ethics/Integrity
Customer Care
Job Knowledge/Technical Skills
Problem Solving
Responsibility and Decision Making Authority
Review general ledger transactions and make corrections as needed
Review bank activity and contact banking institutions to research unfamiliar transactions.
Set up new vendors in Oracle based on W-9 data
Set up new commercial distributors
Reconciliation of various general ledger accounts as assigned
Month-end close process including journal entries, reconciliations, and schedules
Experience
Two plus years of accounting experience or equivalent
Knowledge of Generally Accepted Accounting Principles (GAAP)
Highly proficient in Microsoft Office
Excellent analytical and reconciliation skills
Excellent oral and written communication skills
Travel
Minimal
Specific Duties And Responsibilities
Reconcile several bank accounts using Oracle on a daily or weekly basis as appropriate
Create new suppliers in Oracle and retrieve completed W-9 form vendors
Assist with coding accounts payable invoices according to departmental budgets
Compare actual expenses to monthly budgets
Respond to inquiries from NIB staff regarding departmental expenses
Participate in annual financial and program audit activities and inquiries
Prepare schedules and general ledger reconciliations as a part of the month end close process
Prepare benefits schedules based on salary, prepaid health, and workers compensation
Prepare annual 1099 and 1096 forms for vendors
Coordinate between the sales data capture team and the contracts team for the new Government contracts set up
Review the commercial distribution list and set up the new customers in the Oracle
Prepare annual City of Alexandria Personal Property Report
Maintain electronic filing system for vendor invoices and employee expense reports
Cross Train with Ecommerce Staff Accountant Position
Prepare ad-hoc reports as needed
This job description does not imply that these are the only duties to be performed. The incumbent in this position will perform such other tasks as may be required for the effective operation of the Division/Department upon receipt by his/her supervisor.
NIB IS AN EQUAL OPPORTUNITY/AFFIRMATIVE ACTION EMPLOYER
NIB is an Equal Opportunity/Affirmative Action Employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, disability, or protected Veteran status.
Education
Bachelor’s degree in Accounting or related discipline from a regional accredited university or college; CPA or CPA candidate preferred but not required.
Training and Specialized Knowledge
Comprehensive knowledge of standard month-end and year-end close processes; typical general ledger account reconciliation processes.
Responsibility and Decision Making Authority
Review general ledger transactions and make corrections as needed
Review bank activity and contact banking institutions to research unfamiliar transactions.
Set up new vendors in Oracle based on W-9 data
Reconciliation of various general ledger accounts as assigned
Month-end close process including journal entries, reconciliations, and schedules
Experience
Two plus years of accounting experience or equivalent
Knowledge of Generally Accepted Accounting Principles (GAAP)
Highly proficient in Microsoft Office
Excellent analytical and reconciliation skills
Excellent oral and written communication skills
Travel
Minimal
Specific Duties And Responsibilities
Reconcile several bank accounts using Oracle on a daily or weekly basis as appropriate
Prepare the Daily Cash Report and send BAI reports to E-Commerce
Create new suppliers in Oracle and retrieve completed W-9 form vendors
Code accounts payable invoices according to departmental budgets
Compare actual expenses to monthly budgets
Respond to inquiries from NIB staff regarding departmental expenses
Record journal entries for payroll and various fringe benefits
Participate in annual financial and program audit activities and inquiries
Reconcile the 941 tax form against payroll reports and salary expense on a quarterly basis
Prepare schedules and general ledger reconciliations as a part of the month end close process
Prepare benefits schedules based on salary, prepaid health, and workers compensation
Prepare annual 1099-Misc forms for vendors
Prepare ad-hoc reports as needed
This job description does not imply that these are the only duties to be performed. The incumbent in this position will perform such other tasks as may be required for the effective operation of the Division/Department upon receipt by his/her supervisor.
NIB IS AN EQUAL OPPORTUNITY/AFFIRMATIVE ACTION EMPLOYER
NIB is an Equal Opportunity/Affirmative Action Employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, disability, or protected Veteran status.
Seniority level
Mid-Senior level
Employment type
Full-time
Job function
Accounting/Auditing and Finance
Industries
Non-profit Organizations
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