Nonprofit Shared Finance Accountant

NACBA

Oklahoma City (OK)

On-site

USD 52,000 - 76,000

Full time

14 days+
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Job summary

OKCNP is seeking a Shared Financial Services Accountant to deliver accurate bookkeeping and financial reporting for multiple client contracts. The role maintains ledgers, processes transactions, and prepares monthly statements while upholding confidentiality and compliance.

You will reconcile accounts, assist with budgets, audits, and payroll readiness, and provide administrative support to the Shared Financial Services program.

Qualifications

  • Bachelor's degree in accounting; 3+ years accounting experience; proficiency with accounting software and Microsoft Excel; strong organizational, analytical, and communication skills; supervisory experience a plus.

Responsibilities

  • Record daily financial transactions.
  • Reconcile bank, credit card, and loan accounts.
  • Manage accounts payable and receivable.
  • Advise on payroll preparation requirements and reporting compliance and/or coordinate with payroll providers.
  • Maintain general ledger and journal entries.
  • Prepare monthly financial statements and management reports.
  • Assist with budgets, audits, and tax preparation readiness.
  • Monitor cash flow and resolve accounting discrepancies.
  • Maintain accounting software (e.g. QuickBooks Online).
  • Communicate professionally with clients and meet deadlines.
  • Provide general administrative functions such as expense reporting, budget oversight, consultation with other team members, and attendance at scheduled meetings.
  • May be asked to present financial reports to client management and board members.

Skills

Communication skills
Analytical skills
Organizational skills
Team collaboration

Education

Bachelor's degree in accounting
CPA preferred

Tools

Microsoft Excel
Accounting software

Job description

OKCNP is seeking a Shared Financial Services Accountant to deliver accurate bookkeeping and financial reporting for multiple client contracts. The role maintains ledgers, processes transactions, and prepares monthly statements while upholding confidentiality and compliance.

You will reconcile accounts, assist with budgets, audits, and payroll readiness, and provide administrative support to the Shared Financial Services program.

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