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OCI is seeking an Accounting Associate to support daily financial administration, document handling, and data preparation in coordination with local leaders and remote bookkeepers. The role emphasizes accuracy, donor restrictions compliance, and timely input into the financial systems.
Responsibilities include document management, daily reconciliations, data prep in Excel/Sheets, and collaboration with the finance team to ensure clean monthly closes and proper reporting to leadership.
Equity Incentive Plan
Accidental Death & Dismemberment Insurance, Fertility Assistance, Life Insurance
Position Overview
The Accounting Associate supports OCI and its member organizations by carrying out day-to-day financial administration tasks in coordination with OCI’s bookkeeping team and local leaders. The role focuses on accurate document handling, basic data preparation, communication with bookkeepers, and quality control of financial records within the OCI Financial Stewardship system.
Job Title: Accounting Associate
Work Schedule: Primarily US time zone overlap (e.g., minimum 3–4 hours overlap with Central Time)
Support the mission of OCI by treating ministry funds as a sacred trust and handling all records with integrity, confidentiality, and transparency.
Operate in harmony with OCI’s Financial Stewardship Training Operations Manual and related policies, including strict adherence to donor restrictions and “no personal expenses on ministry accounts” rules.
1. Document Management and Workflow Support
Receive, organize, and verify scanned or photographed financial documents from local outpost leaders (receipts, deposit slips, offering count sheets, bank deposit receipts, reimbursement forms, payroll documents).
Check that each document is labeled correctly following OCI naming conventions (e.g., YYYY-MM-DDExpenseVendorAmount, YYYY-MM-DDDeposit, YYYY-MM-DDOnlineGivingReport).
Maintain orderly cloud storage by sorting files into correct year/month and income/expense subfolders for each outpost.
2. Daily and Weekly Accounting Support
Daily bank reconciliation of all bank accounts
Monitor incoming documents against OCI’s Daily, Weekly, and Monthly Checklists, and follow up with outpost leaders when items are missing or incomplete.
Assist outposts in applying the “Golden Rule of Daily Bookkeeping” (if money moved today, documentation must be uploaded today) through reminders and simple troubleshooting assistance.
Help track petty cash documentation (receipts, petty cash summaries) and flag discrepancies to the remote bookkeeper.
3. Pre‑Accounting Review and Data Preparation
Review receipts and supporting documents for completeness: date, vendor, amount, clear ministry purpose, authorization signature where required, and donor designation if applicable.
Identify and flag potential issues for the bookkeeper, such as missing receipts, unclear purposes, personal expenses accidentally charged to ministry accounts, and possible restricted-fund violations.
Prepare simple Excel or Google Sheets logs (as directed) summarizing uploaded transactions by date, vendor, amount, and basic category hints (e.g., travel, utilities, supplies) to support efficient entry into QuickBooks Online (QBO).
4. Coordination with Remote Bookkeepers and OCI Finance
Serve as a first-line point of contact for questions from remote bookkeepers regarding missing documents, unclear descriptions, or donor restrictions, and coordinate with outpost leaders to resolve them within 48 hours whenever possible.
Track and follow up on open issues raised by bookkeepers until they are resolved, documenting resolution notes where appropriate.
Escalate complex matters (e.g., large unexpected gifts, suspected misappropriation, donor complaints about restricted funds) promptly to the OCI Finance Department following escalation guidelines.
5. Monthly Reporting Support
When monthly financial reports (Statement of Activities, Statement of Financial Position, Cash Flow Summary) are issued by the remote bookkeeper, help ensure they are distributed to the correct outpost contacts on time.
Support outpost leaders in completing monthly review tasks (e.g., verifying that cash balances match bank accounts, checking restricted fund balances, and signing Monthly Financial Review forms) by sending reminders and tracking completion.
Maintain a simple tracking log of which outposts have completed monthly reviews and board/leadership financial reporting.
6. Annual and Special Project Support
Assist with annual tasks such as gathering final December documents, confirming all transactions are uploaded before the books are closed, and organizing files needed for the CPA review and tax filings (e.g., Form 990 or equivalent).
Help compile and clean mailing or email lists and address data needed for year‑end donor giving statements prepared from QBO by the bookkeeper.
Support preparation of budget support files and documentation requested by leadership when outposts finalize annual budgets.
Works closely with:
OCI Finance Department and designated Finance Manager.
Remote OCI bookkeepers assigned to specific member organizations.
Local outpost leaders and admin staff responsible for scanning and uploading documents.
Coordinates as needed with OCI Regional Coordinators, especially on escalated financial issues or policy questions.
Nuvali. Santa Rosa - Tagaytay Rd, City of Santa Rosa, 4026 Laguna, Philippines