1199SEIU Benefit and Pension Funds
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Accountant (Hybrid)
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1199SEIU Benefit and Pension Funds Continue with Google Continue with Google Join to apply for the
Accountant (Hybrid)
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1199SEIU Benefit and Pension Funds Tracking of multiple entities and reconciling of interfund & real estate transactions of Employee Retirement Income Security Act (ERISA) & non-ERISA Funds Responsible for the general ledgers of assigned Funds, this includes but is not limited to the preparing monthly journal entries, recording adjusting journal entries resulting from the annual audit, etc. Perform monthly closings and allocation of expenses Research and reconcile all discrepancies in the Funds; including Accounts Payable for all assigned Funds monthly Upload and analyze weekly ADP payroll entries Analyze general ledger account and investigate variances Prepare and update auditing schedules monthly and annually Prepare inter-fund, Collective Bargaining Agreement (CBA) and assigned bank reconciliations on a monthly basis; bank account activity updated on a daily basis Assist with the preparation of the monthly and annual financial statements: Trial Balance, Profit and Loss, Balance Sheet and other supplemental schedules Assist in Cash Flow preparation, and ensure that cash deposited is posted & reconciled daily Work with budget department to reclassify adjusting entries Process all wire transfers and commingled check requests Code checks and other invoices as requested Assist in the preparation of the annual Directive 12, Form 5500, Form 990 and census filings Establishing new entities in EBS platform Assisting in determinations and appropriate accounting structure Preparing financial statements for outside accountants
Requisition #:
6832
# of openings:
1
Employment Type
Full time
Position Status
Permanent
Category
Non-Bargaining
Workplace Arrangement
Hybrid
Fund
1199SEIU National Benefit Fund
Job Classification
Non-Exempt
Responsibilities
Tracking of multiple entities and reconciling of interfund & real estate transactions of Employee Retirement Income Security Act (ERISA) & non-ERISA Funds Responsible for the general ledgers of assigned Funds, this includes but is not limited to the preparing monthly journal entries, recording adjusting journal entries resulting from the annual audit, etc. Perform monthly closings and allocation of expenses Research and reconcile all discrepancies in the Funds; including Accounts Payable for all assigned Funds monthly Upload and analyze weekly ADP payroll entries Analyze general ledger account and investigate variances Prepare and update auditing schedules monthly and annually Prepare inter-fund, Collective Bargaining Agreement (CBA) and assigned bank reconciliations on a monthly basis; bank account activity updated on a daily basis Assist with the preparation of the monthly and annual financial statements: Trial Balance, Profit and Loss, Balance Sheet and other supplemental schedules Assist in Cash Flow preparation, and ensure that cash deposited is posted & reconciled daily Work with budget department to reclassify adjusting entries Process all wire transfers and commingled check requests Code checks and other invoices as requested Assist in the preparation of the annual Directive 12, Form 5500, Form 990 and census filings Establishing new entities in EBS platform Assisting in determinations and appropriate accounting structure Preparing financial statements for outside accountants
Qualifications
Bachelor’s Degree in Accounting or Finance required Minimum three (3) years’ experience in the field of accounting required with strong knowledge of Generally Accepted Accounting Principles (GAAP) preferred Advance skill level in Microsoft required; knowledge of Word, PowerPoint and knowledge of financial systems and enterprise software (Oracle) preferred Knowledge of Non-Profit or Taft Hartley Plans Grant accounting experience desired Excellent critical thinking and analytical capabilities; excellent attention to detail and accuracy Ability to multi-task, prioritize work assignments and work independently with minimal supervision Must be a team player; able to handle sensitive and confidential situations with integrity, tact & diplomacy Seniority level
Seniority level Mid-Senior level Employment type
Employment type Full-time Job function
Job function Accounting/Auditing and Finance Industries Hospitals and Health Care Referrals increase your chances of interviewing at 1199SEIU Benefit and Pension Funds by 2x Get notified about new Accountant jobs in
New York, NY . Junior Accountant - Hybrid - NYC or Stamford, CT
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Accountant (Hybrid)
role at
1199SEIU Benefit and Pension Funds Continue with Google Continue with Google Join to apply for the
Accountant (Hybrid)
role at
1199SEIU Benefit and Pension Funds Tracking of multiple entities and reconciling of interfund & real estate transactions of Employee Retirement Income Security Act (ERISA) & non-ERISA Funds Responsible for the general ledgers of assigned Funds, this includes but is not limited to the preparing monthly journal entries, recording adjusting journal entries resulting from the annual audit, etc. Perform monthly closings and allocation of expenses Research and reconcile all discrepancies in the Funds; including Accounts Payable for all assigned Funds monthly Upload and analyze weekly ADP payroll entries Analyze general ledger account and investigate variances Prepare and update auditing schedules monthly and annually Prepare inter-fund, Collective Bargaining Agreement (CBA) and assigned bank reconciliations on a monthly basis; bank account activity updated on a daily basis Assist with the preparation of the monthly and annual financial statements: Trial Balance, Profit and Loss, Balance Sheet and other supplemental schedules Assist in Cash Flow preparation, and ensure that cash deposited is posted & reconciled daily Work with budget department to reclassify adjusting entries Process all wire transfers and commingled check requests Code checks and other invoices as requested Assist in the preparation of the annual Directive 12, Form 5500, Form 990 and census filings Establishing new entities in EBS platform Assisting in determinations and appropriate accounting structure Preparing financial statements for outside accountants
Requisition #:
6832
# of openings:
1
Employment Type
Full time
Position Status
Permanent
Category
Non-Bargaining
Workplace Arrangement
Hybrid
Fund
1199SEIU National Benefit Fund
Job Classification
Non-Exempt
Responsibilities
Tracking of multiple entities and reconciling of interfund & real estate transactions of Employee Retirement Income Security Act (ERISA) & non-ERISA Funds Responsible for the general ledgers of assigned Funds, this includes but is not limited to the preparing monthly journal entries, recording adjusting journal entries resulting from the annual audit, etc. Perform monthly closings and allocation of expenses Research and reconcile all discrepancies in the Funds; including Accounts Payable for all assigned Funds monthly Upload and analyze weekly ADP payroll entries Analyze general ledger account and investigate variances Prepare and update auditing schedules monthly and annually Prepare inter-fund, Collective Bargaining Agreement (CBA) and assigned bank reconciliations on a monthly basis; bank account activity updated on a daily basis Assist with the preparation of the monthly and annual financial statements: Trial Balance, Profit and Loss, Balance Sheet and other supplemental schedules Assist in Cash Flow preparation, and ensure that cash deposited is posted & reconciled daily Work with budget department to reclassify adjusting entries Process all wire transfers and commingled check requests Code checks and other invoices as requested Assist in the preparation of the annual Directive 12, Form 5500, Form 990 and census filings Establishing new entities in EBS platform Assisting in determinations and appropriate accounting structure Preparing financial statements for outside accountants
Qualifications
Bachelor’s Degree in Accounting or Finance required Minimum three (3) years’ experience in the field of accounting required with strong knowledge of Generally Accepted Accounting Principles (GAAP) preferred Advance skill level in Microsoft required; knowledge of Word, PowerPoint and knowledge of financial systems and enterprise software (Oracle) preferred Knowledge of Non-Profit or Taft Hartley Plans Grant accounting experience desired Excellent critical thinking and analytical capabilities; excellent attention to detail and accuracy Ability to multi-task, prioritize work assignments and work independently with minimal supervision Must be a team player; able to handle sensitive and confidential situations with integrity, tact & diplomacy Seniority level
Seniority level Mid-Senior level Employment type
Employment type Full-time Job function
Job function Accounting/Auditing and Finance Industries Hospitals and Health Care Referrals increase your chances of interviewing at 1199SEIU Benefit and Pension Funds by 2x Get notified about new Accountant jobs in
New York, NY . Junior Accountant - Hybrid - NYC or Stamford, CT
New York, NY $95,000 - $100,000 6 days ago New York, NY $100,000 - $120,000 1 week ago New York City Metropolitan Area 1 week ago Brooklyn, NY $105,000.00 - $137,000.00 2 weeks ago New York City Metropolitan Area 3 days ago New York, NY $75,000.00 - $85,000.00 2 weeks ago New York, NY $60,000.00 - $90,000.00 1 week ago Brooklyn, NY $105,000.00 - $137,000.00 2 weeks ago New York, NY $135,000.00 - $150,000.00 3 weeks ago Senior Accountant, Revenue (Remote Role)
New York, NY $80,000.00 - $95,000.00 1 week ago New York City Metropolitan Area $87,133.00 - $135,773.00 2 weeks ago New York, NY $75,000.00 - $80,000.00 2 weeks ago New York, NY $70,000.00 - $80,000.00 3 weeks ago New York, NY $75,000.00 - $100,000.00 5 months ago New York, NY $60,000 - $70,000 2 weeks ago New York, NY $100,000 - $125,000 3 weeks ago New York, NY $70,000 - $90,000 20 hours ago Staff Accountant II, Consolidations and Reporting
We’re unlocking community knowledge in a new way. Experts add insights directly into each article, started with the help of AI.
#J-18808-Ljbffr