What are the responsibilities and job description for the Accountant position at New Settlement?
Rooted in the Bronx, New Settlement stands with community members to break systemic barriers, advance justice, promote leadership and strengthen neighborhoods. By ensuring agency around education, employment, housing, wellness and creative expression, we help cultivate an equitable society where individuals and families have the power to use their voice to create the change they wish to see.
Since New Settlement’s inception in 1989 as a settlement house rooted in the Bronx, our organization has been a responsive community partner. Originally established to revitalize abandoned buildings into affordable housing, New Settlement has since evolved into a multi-generational, forward-looking organization. We support 15,000 members of the community annually by providing organizing in housing and schools, and programs in education, college access, youth development, arts, workforce development, wellness and more. EEO/AA
JOB SUMMARY: We are seeking a detail-oriented and highly organized Accountant to support the day-to-day financial operations of the organization. This role is responsible for managing accounts payable, recording financial transactions, reconciling bank activity, processing payroll entries, and maintaining accurate financial records in QuickBooks. The ideal candidate will be proactive in monitoring cash flow, ensuring compliance with internal controls, and assisting with monthly closes and audit preparation. Additional responsibilities may include supporting budgeting efforts, tracking contract and grant expenditures, preparing financial reports, and contributing to process improvements. This is a critical role within the fiscal team, requiring accuracy, efficiency, and a strong understanding of accounting principles and financial systems.
Job Duties Include But Are Not Limited To
Since New Settlement’s inception in 1989 as a settlement house rooted in the Bronx, our organization has been a responsive community partner. Originally established to revitalize abandoned buildings into affordable housing, New Settlement has since evolved into a multi-generational, forward-looking organization. We support 15,000 members of the community annually by providing organizing in housing and schools, and programs in education, college access, youth development, arts, workforce development, wellness and more. EEO/AA
JOB SUMMARY: We are seeking a detail-oriented and highly organized Accountant to support the day-to-day financial operations of the organization. This role is responsible for managing accounts payable, recording financial transactions, reconciling bank activity, processing payroll entries, and maintaining accurate financial records in QuickBooks. The ideal candidate will be proactive in monitoring cash flow, ensuring compliance with internal controls, and assisting with monthly closes and audit preparation. Additional responsibilities may include supporting budgeting efforts, tracking contract and grant expenditures, preparing financial reports, and contributing to process improvements. This is a critical role within the fiscal team, requiring accuracy, efficiency, and a strong understanding of accounting principles and financial systems.
Job Duties Include But Are Not Limited To
- Enter invoices from Bill.com into QuickBooks
- Process vendor payments via checks, Bill.com, EFT, and ACH as approved by the Executive Team
- Review credit card transactions from BILLSpend & Expense for missing account codes
- Enter Webster Bank credit card transactions in QuickBooks
- Monitor bank accounts for fraudulent activity
- Prepare and distribute weekly cash snapshot
- Issue weekly stipend checks and enter in check positive pay
- Record bi-weekly payroll, related withholdings, and fringe benefits transactions
- Record bank deposits and auto-pay bills
- Reconcile bank accounts on a daily basis
- Reclassify expenses as identified by the Contracts Team
- Review Accounts Payables aging report and follow up on outstanding items
- Prepare and Issue 1099s at year-end
- Track and submit monthly uncleared checks report
- Void and re-issue checks as needed
- Update and maintain Class List and Chart of Accounts
- Maintain financial records in compliance with accepted policies and procedures.
- Assist with month-end and year-end close processes, including journal entries, accruals, and reconciliations
- Prepare supporting schedules for audits and assist external auditors with documentation requests
- Assist in budget preparation and monitor actuals vs. budget variances
- Support grant or contract reporting requirements, including tracking restricted funds (if applicable)
- Ensure sales tax compliance, including tracking and filing sales/use tax returns, if relevant
- Research and resolve accounting discrepancies or variances in general ledger accounts
- Support internal process improvements to increase efficiency and strengthen internal controls
- Assist with financial reporting or prepare internal financial summaries for department leaders or executives
Salary : $60,000 - $70,000