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Non-Profit Accountant

$31.23 per hour
Full-time

Ecs4kids



Full-time

Description

JOIN THE ECS4Kids TEAM  

ECS4Kids (formerly Episcopal Children’s Services) is a 2026 Top Workplace that honors young children’s immense potential by helping them enter school ready to learn. We cultivate lifelong learners by immersing children in enriching guided experiences and discovery-oriented approaches. Through programs like Voluntary Prekindergarten (VPK), Head Start, School Readiness, Child Care Resource & Referral (CCRR), and more, our dedicated professionals work with families and caregivers throughout Florida to promote children’s well-being. These enable us to strengthen key areas including motor development, cognitive development, social and emotional development, language and communication skills, and problem-solving skills. 

Partner with us to help empower communities to rise above generational poverty with comprehensive early childhood education and holistic family support. We have career opportunities available in several counties throughout Northeast and Central Florida.

ECS4Kids offers a competitive benefit package which includes: 

  • Medical, dental and vision insurance 
  • 403(b) plan with 5% employer match 
  • Employee Assistance Program (EAP) 
  • Long-term & short-term disability insurance 
  • Employer-paid life insurance 
  • Paid holidays 
  • Generous paid time off 
  • Career development 
  • Qualifying employer for Public Service Loan Forgiveness Program 

GENERAL DESCRIPTION:

The Non-Profit Accountant plays a critical role in maintaining accurate financial records and ensuring compliance with nonprofit accounting standards for a growing organization with an annual budget exceeding $100 million. This position is responsible for supporting the preparation of financial statements, applying cost accounting principles, and adhering to Generally Accepted Accounting Principles (GAAP), including accrual based revenue recognition.

The role requires a high degree of autonomy, attention to detail, and initiative with the capability of managing multiple priorities independently while maintaining transparency and accuracy in financial reporting. A strong commitment to continuous learning is essential, particularly in mastering the complexities of government regulations and nonprofit financial management.

MAJOR RESPONSIBILITIES:

  • General Ledger Management: Assist with the maintenance and reconciliation of the general ledger. Record and post journal entries accurately and timely. Ensure proper coding of transactions according to nonprofit accounting principles. Reconcile balance sheet accounts and resolve discrepancies.
  • Financial Reporting: Prepare monthly, quarterly, and annual financial statements in accordance with GAAP (Generally Accepted Accounting Principles) and nonprofit-specific accounting guidelines. Assist in the preparation of reports for management, the Board of Trustees, and external stakeholders. Prepare supporting schedules for the financial statements, including revenue and expense tracking.
  • Grants and Restricted Funds Management: T rack and report on restricted and unrestricted funds, ensuring compliance with grant requirements and donor specifications. Maintain accurate records of all grant-related transactions and reporting schedules. Assist in the preparation of grant financial reports and invoices for funders and partners. Assist in budget preparation, deferred revenue accounting, and performing monthly account reconciliations to ensure compliance with funding requirements and organizational policies.
  • Accounts Receivable: Process accounts receivable transactions in a timely and accurate manner. Assist with the collection of outstanding receivables and follow up with donors and partners as needed. Prepare write-off requests and submit for approval as needed.
  • Lease Accounting: Administer and maintain lease accounting processes in compliance with ASC 842, including lease classification, data entry, and periodic reconciliations using lease accounting software.
  • Prepaid Expenses: Oversee the tracking and monthly amortization of prepaid expenses to ensure accurate expense recognition and proper accounting treatment in accordance with GAAP.
  • Cash Receipts: Record cash fees and receipts and reconcile deposits with the donor management subsystem to ensure accuracy and completeness of revenue reporting.
  • Self-Funded Health Plan: Record funding transfers and claims transactions related to the self-funded health plan, ensuring timely and accurate accounting in alignment with plan requirements and financial reporting standards.
  • In-Kind Contributions: Record and monitor in-kind contributions, ensuring timely recognition and reconciliation to source systems and supporting documentation in compliance with GAAP and donor requirements.
  • Cost Allocations: Manage cost allocations across multiple grants and locations to ensure accurate expense distribution in accordance with grant agreements and organizational policies. Prepare necessary adjusting journal entries to close periods.
  • Month-End and Year-End Closing: Assist with the month-end and year-end closing processes, ensuring all transactions are recorded accurately. Support the organization’s annual audit by preparing schedules, providing documentation, and responding to auditor inquiries related to grants, contracts, and general ledger activity.
  • Compliance and Tax Filings: Support the preparation of annual IRS Form 990 and other nonprofit specific tax filings. Stay updated on nonprofit financial regulations and ensure that the organization remains in compliance with federal, state, and local requirements. Assist with the preparation of sales tax returns, if applicable.
  • Budgeting and Forecasting: Assist with the development of the organization's annual budget and forecasts in collaboration with the Director of Finance. Monitor budget vs. actual performance and report variances to management.
  • Internal Controls and Financial Policies: Help ensure adherence to internal controls and financial policies. Support the development of financial procedures and best practices in the nonprofit sector.
  • Collaboration: Work collaboratively with programmatic staff and managers to document, facilitate, and ensure proper data transfer in a timely manner that supports accurate and complete financial reporting.
  • Special Projects and Support: Provide financial data and analysis for special projects and organizational initiatives. Assist with the implementation of new accounting systems or improvements to existing systems.

(These job functions are not to be construed as a complete statement of duties. Employees will be required to perform other related duties as required.)

Requirements

QUALIFICATIONS:

  • Bachelor’s degree in Accounting, Finance, or a related field (required); or 
  • Grandfather Clause: Candidates who have been employed with the agency for over 10 years, have demonstrated commitment to professional growth by completing at least two higher-level accounting courses, and have achieved a nonprofit accounting certification may be exempt from the formal education requirement.
  • Strong understanding of basic accounting principles and concepts (GAAP, financial statements, journal entries, etc.).
  • Knowledge of nonprofit accounting standards, including tax-exempt regulations and IRS Form 990 filing is a plus.
  • Commitment to ongoing professional development.

SKILLS, KNOWLEDGE, AND ABILITIES:

  • Proficiency in Microsoft Excel (experience with functions like VLOOKUP, pivot tables, etc.).Demonstrated ability to exercise sound professional judgment in resolving accounting issues, interpreting financial data, and making recommendations. Ability to operate in a self-directed manner, proactively identifying issues and opportunities for improvement in financial processes.
  • Familiarity with accounting software (e.g., NetSuite, Sage Intacct, Microsoft Dynamics, or similar systems) is a plus.
  • Ability to quickly learn new software and tools.
  • Strong focus on accuracy and detail, especially when reviewing and reconciling financial data.
  • Good written and verbal communication skills to interact with team.
  • Ability to explain basic financial data to non-financial colleagues.
  • Ability to manage multiple tasks and meet deadlines in a fast-paced environment.
  • High level of integrity and understanding of the importance of confidentiality in handling financial information.
  • Awareness of professional and ethical standards in accounting.
  • Desire to learn and grow in the profession.

CERTIFICATIONS:

  • Valid Driver’s License
  • Certificates of acknowledgement required: Conflict of Interest, Code of Ethics, Confidentiality agreements, IT Systems and Security, Anti-Fraud, HR Employee Acknowledgement Form.
  • Applicants must successfully pass a drug screen and background check as a condition of employment.

 

Background Requirements  

A Level II Background Screening which consists of a local, state, and federal criminal check will be completed on all employees and any contracted employee position, intern position or volunteer position in which individuals have contact with children, have access to confidential information and / or are in a position of special trust. To learn more about the system used to conduct these checks, you can use this link -  

Salary Description

$31.23 per hour

Vacancy posted more than 2 months ago
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