Accounts Payable and Cash Disbursements
- Process vendor invoices, check requests, credit card charges and employee reimbursements.
- Ensure proper general ledger coding, approvals and documentation as well as timely payment.
- Record all ACH and bank charges into the accounting system.
- Maintain vendor files including 1099 information, ACH instructions, tax-exempt forms and certificates of insurance.
- Review and monitor purchase orders and ensure proper reconciliation with invoices.
- Receive, research, and resolve internal and external inquiries concerning payable account status. Communicate the resolutions of discrepancies to appropriate people.
Accounts Receivable and Cash Management
- Import daily entries from point-of-sale system.
- Enter third-party payments into the point-of-sale system on a timely basis.
- Verify and reconcile end of shift cash receipts data from the point-of-sale system.
- Input contribution and miscellaneous cash and check receipts into the accounting system.
- Monitor bank activity and report electronic contribution deposits to Development on a weekly basis.
- Prepare weekly bank deposits.
Office Management and Purchasing Support
- Interface directly with key office services and supplies vendors for each YMCA of Montclair location.
Month-End Close and Financial Reporting
- Assist with monthly and year-end close processes.
- Prepare and review AP aging report.
- Prepare journal entries.
- Perform bank and credit card reconciliations
Audit and Compliance Support
- Support annual audit by preparing schedules and documentation.
- Assist with grant and donor compliance tracking as needed.
Budget and Planning Support
- Assist in budget uploads and system entry.
- Support data collection and preparation for budgeting cycles.
Other Duties and Responsibilities
- Identify opportunities for continuous improvement to support the organization.
- Provide cross-coverage for Finance team during absences.
- Assist Controller and CFO with other tasks and projects as assigned.
- Work collaboratively with HR, Development and Operations teams to move the mission forward.
- Attend required Abuse Risk Management training and adhere to procedures related to managing high-risk activities and supervising members and participants.
- Follow employee and volunteer screening requirements and use screening instruments to screen for abuse risk. Provide employees and volunteers with ongoing supervision and training related to abuse risk.
- Provide employees and volunteers with regular feedback regarding their boundaries with consumers and require them to adhere to policies and procedures related to abuse risk.
- Respond quickly to policy and procedure violations using the Y’s disciplinary procedures and respond seriously and confidentially to reports of suspicious and inappropriate behaviors and follow mandated reporting requirements.
- Communicate to all employees and volunteers the Y’s commitment to protect our members from abuse.