Full-time, Contract to Hire opportunity for this local non-profit organization. Position will entail the following:
Bank & account reconciliations; monthly and quarterly
Process Journal entries
Maintain daily cash management spreadsheet for all operating accounts
Pre-paid account reconciliations
Payroll posting to GL
Process Accounts payable, wires and ACH transfers
Enter/approve cash receipts and accounts receivable
Prepare monthly invoices
Support month-end and year-end close process'
Prepare materials for financial statements
Other duties as assigned.
Bachelor's degree preferred; or Associates with 4 years of related experience; MS Office skills; Comparable experience; Two good employment references; Blackbaud experience ideal.