Staff · Large regional
GHJ · Los Angeles, California · On-site
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Post, reconcile, and adjust nonprofit accounting entries and prepare audit and funder financial reports.
Worth knowing: Requires nonprofit accounting experience of 2, 3 years
Responsibilities: Record and apply deposits into the accounting system Prepare balance sheet reconciliations and related adjusting journal entries Perform monthly bank reconciliations Review vendor invoices for: Assist with accounts payable and billing functions Support monthly American Express reconciliations Assist with monthly and year-end close processes Prepare audit schedules and financial reports for annual audits and funder monitoring Assist with monthly funder invoicing and supporting documentation Qualifications: Bachelor’s degree in Accounting, Finance, Business Administration, or related field preferred 2–3 years of accounting experience within a nonprofit environment Strong attention to detail and organizational skills Ability to manage multiple priorities and meet deadlines Strong analytical and problem-solving skills Ability to work both independently and collaboratively Professional communication skills with the ability to interact across all organizational levels Proficiency in Microsoft Excel, Word, and Outlook #GHJSS #LI-LM1
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