Non-profit Accountant job opportunity at Green Hasson & Janks LLP.



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Green Hasson & Janks LLP Non-profit Accountant
Experience: General
Pattern: On-site
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Client Opportunities,Accounting

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degreeBachelor's (B.Sc.)
loacation Sandy Springs, GA, United States Of America
loacation Sandy Springs,..........United States Of America

GHJ Search and Staffing serves as the recruitment division of GHJ, a prominent national accounting and advisory firm. Our team provides qualified Accounting and Finance professionals on a temporary and permanent basis across a broad range of industries. GHJ’s relationship with our Global Advisory and Accounting Network provides the resources needed to better understand client’s needs, attract a higher caliber of candidates and assess candidate potential.Job DescriptionPosition: AccountantStatus: Full-Time, Non-ExemptSupervisor: ControllerWork Location: In-OfficeThis is a nationally recognized nonprofit organization that provides programs and support services for individuals. The organization is dedicated to enhancing health and wellness through comprehensive healthcare, education, advocacy, and support of research to improve lives.Commitment to Culture:Maintain a positive work atmosphere by acting and communicating in a manner that allows you to work productively and effectively with clients, co-workers, and management.Qualifications:- Bachelor’s degree, preferably in accounting- Ability to maintain confidentiality- Accurate and thorough—monitoring own work for errors- Proficient in Microsoft Office Suite applications, with particular proficiency in ExcelEssential Functions:- Code all cash receipts into the appropriate accounts- Post cash receipts to client accounts- Post write-offs for managed care and assistance program adjustments; follow up on discrepancies- Prepare monthly cash receipts and corresponding payables report for all contract partners- Balance cash receipts twice a month- Assist, as requested, with the annual financial audit- Prepare and/or post journal entries for:- Cost allocations- Grants- Monthly accruals- Record cash receipts into the appropriate checkbook- Conduct annual physical inventory of fixed assets and maintain the fixed asset systemAdditional Responsibilities:- Additional duties as assigned by the Controller or CFO\n\n

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