Accounts Payable Specialist - Temporary at Partnership for Maternal and Child Health of NNJ
Secaucus, New Jersey, United States -
Full Time


Start Date

Immediate

Expiry Date

01 Oct, 26

Salary

35.0

Posted On

03 Jul, 26

Experience

2 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Accounts Payable, General Ledger Accounting, Grant Reporting, Financial Reconciliation, Journal Entries, Audit Preparation, Budget Preparation, Vendor Management, Microsoft Excel, MIP Software, Abila Software, Non-profit Accounting, Time Management, Communication Skills, Attention To Detail, Financial Analysis

Industry

Non-profit Organizations

Description
Description The Accounts Payable Specialist ensures accurate accounting, compliance with grant requirements, and effective stewardship of funds. This role prepares detailed reports for funders, supports audits, and assist in ensuring timely and compliant grant reporting. The Accounts Payable Specialist collaborates with program and development teams to align financial practices with grant budgets and restrictions, contributing to strategic planning and sustainability. Essential Functions Oversee the full accounts payable cycle, including invoice intake, coding, approvals, payments, and reconciliation Ensure accurate and timely processing of invoices, expense reports, and vendor payments in accordance with organizational policies and grant/funder requirements Maintain accurate vendor records, W-9 forms, and documentation required for 1099 year-end tax reporting Own the resolution of accounts payable and expense discrepancies- researching issues, coordinating with internal departments and vendors, and ensuring accurate and timely correction Ensures all American Express and Amazon transactions are properly documented, matched to receipts, coded to the correct cost centers/grant, and reconcile prior to bill payment Independently prepare and post journal entries into the ABILA/MIP accounting system, including adjusting journal entries Prepare monthly balance sheet/Income account reconciliations for assigned accounts Responsible for maintaining audit-ready account groups, ensure the accuracy of all assigned balances in preparation for year-end audits, and monthly contract performance reporting Assist with annual audits, including provision of supporting documentation Resolve accounts discrepancies, concerns, or issues within a month of discovery/occurrence Quarterly and Annual grant reporting with timely closeouts Budget preparation and subsequent modification documents Accuracy of variance reporting for monthly grants Budget and subsequent modification as necessary Preparation of annual grant documents Routine File Maintenance Requirements Bachelor’s degree in accounting required Minimum 2 years required of general ledger accounting experience with any major accounting cycle Familiarity with non-profit accounting principles preferred Federal, State, and local grant experience is a plus Excellent time management skills with a proven ability to meet deadlines Ability to prioritize tasks and to delegate them when appropriate Ability to function well in a high-paced and at times stressful environment Attention to detail and ability to work under strict deadlines and prioritize competing assignments Self-starter who is proactive and can work independently Organizational and time management skills to support ability to track and prioritize ongoing projects and tasks and a keen eye for detail Good verbal and written communication skills; ability to communicate financial information to employees and simplify complex financial concepts Computer proficiency in MS Office, intermediate Excel skills, and MIP, Abilia, or any current accounting software required
Responsibilities
Manage the full accounts payable cycle, including invoice processing, vendor payments, and reconciliation of corporate transactions. Ensure compliance with grant requirements through detailed reporting, budget monitoring, and support for annual audits.
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