Senior Accountant Position Description Housing Resources Group (HRG)



Similar documents
Executive - Salary Guide

--Inputs and posts journal vouchers to the general ledger; prepares month-end closing journal entries.

HOCHHEIM PRAIRIE INSURANCE COMPANIES

Reference Document Month-End Closing

SAMPLE NPO Fiscal Policies & Procedures

STATE OF NEVADA Department of Administration Division of Human Resource Management CLASS SPECIFICATION TITLE GRADE EEO-4 CODE

FINANCIAL MANAGEMENT POLICIES AND PROCEDURES

NONPROFIT FINANCIAL MANAGEMENT SELF ASSESSMENT TOOL

ACCOUNTING POLICIES AND PROCEDURES SAMPLE MANUAL

Accounting Policies and Procedures Manual

SUMMARY OF CORRECTIVE ACTION FOR SEGREGATION OF DUTIES AUDIT ISSUES

How To Manage A Corporation

ACCOUNTANT Date: 5/2/2007

FINANCIAL MANAGEMENT POLICIES AND PROCEDURES

SAMPLE FINANCIAL PROCEDURES MANUAL

ACCOUNTING ASSISTANT

Members of the Civil Service Commission. Matt Doyle, Director of Human Resources Alex Souto, Human Resources Associate

COUNTY OF HENRICO ACCOUNTS RECEIVABLE POLICY

Audit Guidelines. The Annual Church Audit. by Dan Busby. Key Concepts. Idea! Use this document as a checklist for your annual audit.

August 2006 April 2011

ADMINISTRATIVE PRACTICE LETTER

CLASSIFICATION SPECIFICATION FINANCIAL ANALYST

GLOSSARY the terms below are to be interpreted as follows wherever they appear in the classification specification:

[LSC Name] Items Needed for Internal Audit [Audited as of Date]

FINANCIAL AND PURCHASING RECORDS. Includes records showing a summary of receipts, disbursements and other activity against each account.

The Chattahoochee Nature Center has an immediate job opening for a full-time Bookkeeper/Office Administrator.

Position Description

Guidelines for Congregations Internal Control Best Practices

TEMPORARY EMPLOYEE CLASSIFICATION LEVELS

Chapter Thirteen: General Ledger

General Ledger Auditing. Presented By: Jim Lee

CARRIAGE MUSEUM OF AMERICA ACCOUNTING POLICIES AND PROCEDURES MANUAL. February 2014

KANSAS CITY, MISSOURI RESPONSES TO THE FISCAL YEAR 2013 AUDIT MANAGEMENT LETTER

California Emerging Technology Fund Call for Resumes Bookkeeping, Accounting and Financial Management November 2010

Financial Closing Process Best Practices: Improve and Accelerate

Director of Clinical Services Director Strategy & Operations Clinical and Medical teams Business Operations Team Staff and Managers

Checklist - Monthly Close Process

Accounting software & data

Accounts Payable. Best Practices: Existing Control: Control Gap: Controls Evaluation and Gap Analysis. Purchasing

1. Storeroom supplies -- For items stocked in the Palmer storeroom, use the Requisition for Supplies Form.

Invoicing Internal Procedure

UNIVERSITY OF CALIFORNIA, RIVERSIDE ACCOUNTING SERVICES SELF SUPPORTING OPERATIONS FISCAL YEAR END CLOSING May 22, 2012

Version Date: 10/16/2013

FC: FC215 PC: 890 BU: 31(AFSCME) FLSA: Exempt Revised: June 2015

Unrecorded Payables/Receivables

FINANCIAL POLICIES INDEX

Involve- Bookkeeper/Accountant

BEDFORD PUBLIC SCHOOLS BUSINESS OFFICE PROCEDURES MANUAL

Region/Chapter Financial Guidelines

Accounting Principles Critical to Success Presented By: C. P. Krishnan.

SCHEDULE NO. 30 FINANCIAL RECORDS

CareerSource Florida Accounting and Related Services--Proposed Contracting Action January 7, 2015 January 13, 2015, 5:00 pm EST

Great Aycliffe Town Council. Purchase Ordering and Payment for Goods and Services Policy

Accounting Specialist Bismarck Parks and Recreation District Bismarck, North Dakota

MEDICAL OFFICE SERIES

WMS SOFTWARE - TRAINING SCHEDULE

DIXON MONTESSORI CHARTER SCHOOL FISCAL CONTROL POLICY

Business Intelligence Inquiry Dashboard Job Aid

Florida A & M University

EMAS EXECUTIVE MANAGEMENT ACCOUNTING SYSTEM Financial and Distribution application solutions PRODUCT OVERVIEW

General Instructions Balance Sheet Reconciliations January 2013

COMPONENTS OF THE STATEMENT OF CASH FLOWS

Important Disclaimer. Copyright Information

XIV. Accounting for Gifts, Endowment Earnings and Other Projects

The Requirements Compliance Matrix columns are defined as follows:

FISCAL POLICIES AND PROCEDURES

Summary of Significant Revisions to the Accounting Procedures Manual For the Public Schools in the State of West Virginia

Audria Ford. Adjunct Faculty Accounting, Finance & MIS College of Business Hobart Taylor 2C224 anford@pvamu.edu

With so many property management companies vying for your business, how do you make the right selection for your property?

JOHN WILEY & SONS, INC. UNAUDITED SUMMARY OF OPERATIONS FOR THE FIRST QUARTER ENDED JULY 31, 2011 AND 2010 (in thousands, except per share amounts)

ACCOUNTS PAYABLE CLERK Training Needs Assessment Evaluation Form. Personal/Position Information

Financial Information Kit

Product. Prologue Accounts Payable Automate Your Accounts Payable Processing

ACCOUNTS PAYABLE/PURCHASING CLERK JOB DESCRIPTION

CASH FLOW STATEMENT & BALANCE SHEET GUIDE

Accounting and Administrative Manual Section 100: Accounting and Finance

August 2014 Report No

Request for Proposal: Accounting/Bookkeeping Services

Abila. MIP Fund Accounting. Solutions overview. Accounts payable. Accounts receivable reporting, billing, and sales order entry

Central Administration Revenue Policies and Procedures. Part A (4): Operating Environment

INTERNAL CONTROL POLICIES

Authorized Federal Supply Schedule Price List

Lane County, Oregon Statement of Net Assets June 30, Governmental Activities. Business-type

Cash Flow Analysis /516 Accounting Spring Professor S. Roychowdhury. Sloan School of Management Massachusetts Institute of Technology

TABLE OF CONTENTS CHAPTER 9

Archdiocese of Chicago Parish Self-Assessment Checklist

Job Description. Comptroller

Hoya Federal Credit Union

FINANCIAL STATEMENTS. For the Years Ended March 31, 2014 and 2013 with Independent Auditors Report

POSITION DESCRIPTION ATTACHMENT A MERCER CED EVALUATION: 157 ASCO: 2211 ANZCO: 2211 POSITION NUMBER: Position Holder: Signature: / /

Abila MIP Fund Accounting

Anytime Learning Real Estate Subscription

COLORADO WOMEN'S EMPLOYMENT AND EDUCATION, INC. DBA CENTER FOR WORK EDUCATION AND EMPLOYMENT, INC.

SELDOC Headquarters, East Dulwich

FINANCE COMMITTEE PROCEDURES. Audit Process. Cash Handling

Paw Paw Public Schools. Business Office. Procedures Manual

OUR KIDS OF MIAMI-DADE/MONROE, INC. OK Operating No Revised Date: April 13, 2012 Effective Date: August 26, 2010

In this chapter, we build on the basic knowledge of how businesses

CHAPTER 4 EFFECTIVE INTERNAL CONTROLS OVER PAYROLL

Sample Position Descriptions for Land Bank

Transcription:

Senior Accountant Position Description Housing Resources Group (HRG) Position Type: 40 hours per week, exempt Reports to: Controller Basic Responsibilities: Initiate, manage and assist with and complete processing of all accounting transactions and routine closing processes for complete, timely and reliable monthly, quarterly and year-end reporting. Initiate and manage the publishing of monthly, quarterly and annual financial reporting for HRG buildings and administration. Supervise Accounts Payable Specialist and Property Accountant in all aspects of their jobs. Produce reliable and timely internal management reports for HRG administration and Board of Directors, partners and clients we serve. Perform all accounting functions for projects under construction from gathering transactions to cost certifications. Coordinate annual budget preparation revisions. Assist Controller in reconciling, analyzing, correcting accounts and preparing schedules and documentation for year-end partnership tax, GAAP accounting and annual HRG & Affiliates audit. Oversee all accounts receivable functions including property residents, donations and grants. Key Objective: Initiate and complete processing of complex accounting transactions and routine closing processes for timely and reliable monthly, quarterly and year-end reporting Directly supervise Property Accountant and Accounts Payable Specialist. Initiate, coordinate and execute routine processing of accounting transactions including but not limited to: overseeing, adjusting and inputting allocations of indirect costs; setting up, adjusting and posting recurring entries for depreciation and amortization, insurance expenses, prepaid costs and deferred revenues and expenses for administrative departments and assigned properties Manage debt servicing for timely payment, accurate recording of ACH transfers and debt amortization Ensure timely payment of property tax returns for all buildings Perform accounting for predevelopment costs and use of the development fund Account for donations, contributions under GAAP. Reconcile books to fund-raising subsystem. Reconcile Sound Families related accounts and activities and make recommendations to Controller regarding the accounts Allocate administrative costs monthly to complete financial statements timely Gather, reconcile, and assist Property Management in preparing monthly/quarterly/annual requirements for condominium associations Prepare the annual personal property tax returns for HRG Prepare and submit B&O and quarterly City tax reports and payments timely Monthly and quarterly closing is accomplished 10 out of 12 months Financial reports are meaningful and appropriate for the users Transaction processing error rate less than 15% Tax reporting deadlines are met 100% of the time Debt service payments are on time 100% Tax reporting and payment submission deadlines are met 100% of the time AR Accountant Page 1 of 1

Key Objective: Produce reliable and timely internal management reports for HRG administration and Board of Directors, partners and clients we serve Publish administrative financial statements, make notations and assist department managers in understanding the administrative statements Analyze financial statements for variance analyses and errors for assigned properties and oversee analysis of Property Accountant. Oversee and at times execute corrections which resolve the issue at hand Ensure draft financial reports are published on a timely basis including: building income & cash flow statements, building balance sheet and income statements and other reports as needed for assigned properties owned by HRG, our partners and third parties Oversee the distribution of reliable and timely reports to property managers via the Excel Index or other media as technology changes Prepare entries, reconcile, review, correct and publish monthly, quarterly and annual financial statements for clients for which we are fiscal managers Coordinate and communicate with clients and accounting staff to resolve issues in a timely manner Monthly, quarterly and annual financial reports for buildings administration are completed and approved for release by 4:00 p.m. 10 out of 12 months of the time Historic Seattle clients receive reliable statements within 3 days after receiving their data over 75% of the time Key Objective: For projects under construction or just completed, gather, coordinate booking and special tracking of transactions, initiate construction draws, retrieve documents and report to partners on actual vs. budget, as well as complete information for cost certification reports in a timely and accurate manner so as to minimize HRG cash outflows Maintain tracking and accounting for all costs projects under construction Provide construction coding to accounting staff for construction-related invoices and pre-development-related invoices Work with Controller to prepare monthly bank/lender draw requests and manage cash, pay contractor and HRG invoices for fees and reimbursement Reconcile general ledger accounts for construction to bank budget and development tracking on a monthly basis Keep supporting files for projects under construction Work with Controller, Director of Finance, and auditors to finish cost certification when projects are completed Provide reports and documentation for construction accounting for cost certification reports to outside consultants Agreed upon cost certification submission deadlines are met 80% of the time Construction vendors are paid on time 80% of the time Page 2 of 2

Key Objective: Supervise accounts payable Oversee timely accurate processing of accounts payable Maintain the check stock on log, checking in new checks and checking out stock for check runs. Ensure timely mailing and distribution of payments Assist AP clerk in printing checks on check run day. Oversee accounts payable specialists maintenance of files and storage files in neat, orderly and retrievable fashion including AR and journal vouchers. AP check cutting deadlines are met 100 % of the time including debt payments AP entry invoice coding error rate is less than 5 % when covering this position AP checks released without proper manager approval or documented blanket-approvals less than 5 % of the time Correcting journal entries are made within 24-hours of error discovery 70% of the time Key Objective: Record administrative accounts receivable transactions, provide reliable reports and oversee property accounts receivable accounting activity Gather backup, create and mail approved billings for consulting and construction management income Prepare entry for billings in the MIP accounts receivable system Prepare deposits of non-rent cash receipts in a timely manner ensuring deposits are ready for the bank delivery intact daily Code miscellaneous administrative receipts and enter into MIP ledgers correctly and timely and communicate receipt of items to appropriate administrative staff Advise Controller of overdue consulting AR Ensure proper coding and application of AR receipts for administrative revenues including consulting and fundraising Ensure that generally accepted accounting principles and HRG accounting procedures are followed in the assignment of consistent, accurate accounting codes to each invoice and that costs are entered to the appropriate accounting period Supervise Property Accountant in the reconciling and resolving of tenant account receivable issues Non-rent cash deposits received from throughout the office by Accounting Specialist are prepared for same-day deposit 90 % of the time. Journal and accounts receivable entries for non-cash receipts are prepared and posted weekly 70% of the time and by the last day of the month 100% of the time Ensure Property Accountant AR performance standards are met Delinquent accounts are turned over to collections within three months of grace period Page 3 of 3

Key Objective: Assist month-end and year-end closing processes including analyzing, correcting accounts, preparing schedules, documenting for year-end partnership tax and GAAP accounting as well as the annual HRG & Affiliates audit Assist with and participate in the annual audit and closing process for the partnerships, HRG buildings, third party buildings and HRG s administrative income and expenses Ensure procedures and policies are followed in processing the above transactions Maintain allocation bases and distribution codes in MIP and relevant spreadsheets as from time to time changed by the Controller Ensure that generally accepted accounting principles and HRG accounting procedures are followed in the assignment of consistent, accurate accounting codes to each invoice and that costs are entered to the appropriate accounting period Interface with audit and tax personnel as needed Prepare year-end schedules as assigned Draft tax returns for Condominium Associations Transaction processing error rate less than 15% Auditors bring to our attention schedules that do not tie to financial statement numbers less than 5% of the time Tax reporting and payment submission deadlines are met 100% of the time Key Objective: Assist with annual budgeting process to assure timely and accurate reporting of actual versus budget. Coordinate the preparation and monitoring of assigned properties and property capital budgets with Property Management, ensure accounting estimates for depreciation, amortization, deferred interest and other fixed costs are input for budget preparation, oversee corrections to iterations of the budget to ensure final results are as intended Assist Managers in obtaining information for assembling their budgets and answering questions related to their budgets throughout the year Coordinate and participate in input of accounting-initiated budget entries to budget templates including property taxes, depreciation, interest and deferred interest, accounting and WSHFC fees, in short fixed costs Coordinate input of Board-approved budgets and revisions for administrative departments, assigned buildings and building capital budgets Key Objective: Self and Team Development Contribute and participate as a team member with accounting personnel to initiate new procedures and to solve problems as they arise Provide leadership, motivate and foster collaborative, team-oriented relationships within the accounting department Follow HRG and generally accepted accounting principles, policies and procedures Annual operating budget input error rate is less than 15%. Budget input deadlines for initial budgets are met 90% of the time. Position compliment:complaint ratio is at least 2:1 Conduct at least one self-developmental Page 4 of 4

and recommend changes in written procedures, Ensure expenditure authorization procedures are followed Work together with other employees to learn effectively from and with each other, and to incorporate the lessons learned Conduct at least one self-development project annually Embody HRG ethics in your own work, and in the work you manage Participate in Accounting Department meetings Key Objective: In General Follow HRG principles, policies and procedures Work together with co-workers to learn effectively from and with each other, and incorporate the lessons learned Embody HRG values in your own work Bring to the attention of Director of Finance or Controller accounting policies and procedures which need revision or enforcement Undertake other duties as assigned by the Controller activity each year 100% compliance with HRG policies and ethical standards Minimum Qualifications: Bachelor s degree in accounting and 5+ years of general ledger accounting experience Minimum two years supervisory experience. Proven ability to direct multiple departmental activities; lead by example; formulate and execute departmental goals and objectives and assess achievement Strong experience performing accounting transactions for all major accounting cycles Experience with general ledger analysis & reconciliation Strong oral and written communication skills Working knowledge of generally accepted accounting principles Proven ability to organize multiple projects Advanced Excel skills and data file uploads/downloads Desired Qualifications: Accounting experience with a real estate organization that constructs and manages properties Prior experience working MIP accounting software and property management software, SQL queries Ability to read and understand legal documents Experience with cost allocations Received by: Date: (Staff member signature) Print Name: Page 5 of 5