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Staff Accountant

Betances Health Center

On-siteNew York City, NYmid$55kโ€“$60kPosted 3h ago

Job description

PRINCIPAL DUTIES AND RESPONSIBILITIES:

General Accounting and Month-End Close

  • Prepare, review, and record general ledger journal entries and supporting documentation as part of the monthly and year-end closing processes.

  • Prepare recurring, adjusting, reclassification, accrual, deferred revenue, and other accounting entries as appropriate.

  • Review general ledger activity for accuracy, completeness, proper classification, and appropriate accounting period.

  • Assist with monthly financial close activities and ensure assigned reconciliations and journal entries are completed according to the Finance Department's close schedule.

  • Reconcile assigned general ledger accounts and investigate and resolve discrepancies in a timely manner.

  • Maintain appropriate supporting documentation for journal entries, reconciliations, account analyses, and financial reports.

  • Assist the Controller and Chief Financial Officer with financial statement preparation, account analysis, audit schedules, and other financial reporting requirements.

  • Research unusual transactions, variances, and account balances and recommend appropriate accounting adjustments when necessary.

  • Assist with year-end audit preparation, Single Audit requirements, cost reports, and other fiscal or regulatory reviews as assigned.

Bank and Cash Accounting

  • Prepare monthly bank reconciliations for all assigned operating, payroll, investment, and other bank accounts.

  • Investigate and resolve outstanding checks, deposits in transit, unidentified transactions, bank discrepancies, and other reconciling items.

  • Prepare and record bank transfers and related general ledger entries.

  • Record bank service charges, fees, interest income, transfers, and other bank-related transactions in the appropriate accounting period.

  • Review daily cash received from Patient Registration against the Practice Management System to ensure collections and daily close activity reconcile.

  • Make or coordinate daily cash deposits as required.

  • Perform bi-monthly petty cash reconciliations.

  • Perform monthly credit card reconciliations.

  • Assist in monitoring cash activity and ensuring transactions are recorded accurately and timely.

Revenue and Receivables Accounting

  • Prepare and record patient services revenue adjustments based upon approved supporting documentation.

  • Assist with reconciliation of patient service revenue to applicable billing, practice management, and general ledger systems.

  • Record revenue in accordance with the appropriate accounting period and applicable revenue recognition requirements.

  • Prepare account reclassifications related to capitation payments and other patient service revenue.

  • Review and reconcile capitation payments and related general ledger accounts.

  • Prepare and record deferred revenue and other timing-related entries, including NYRx payments and similar healthcare reimbursement transactions.

  • Assist in researching differences between billing-system activity, cash receipts, revenue reports, and general ledger balances.

  • Prepare supporting schedules and account analyses related to patient service revenue and other operating revenue.

340B Accounting and Reporting

  • Record 340B revenue in the appropriate accounting period and ensure appropriate supporting documentation is maintained.

  • Prepare and maintain the 340B Income Statement and related revenue and expense schedules.

  • Reconcile 340B activity between pharmacy/vendor reports, bank activity, accounts receivable, and the general ledger, as applicable.

  • Review 340B revenue and expenses for completeness and accuracy and research material variances.

  • Assist with 340B vouchering, reimbursement tracking, financial analysis, and reporting.

  • Assist Finance leadership with monitoring the financial performance of the organization's 340B program.

  • Maintain supporting schedules for 340B revenue, expenses, receivables, and other related financial activity.

Regulatory and Program Reporting

  • Prepare or assist with the New York Public Goods Pool report and related supporting schedules.

  • Assist in preparing fiscal information required for federal, state, local, managed care, grant, and other regulatory reports.

  • Compile financial information and supporting documentation requested during audits, monitoring reviews, grant reviews, and regulatory examinations.

  • Assist with healthcare-specific financial reporting and reconciliations as assigned.

  • Maintain organized supporting documentation to ensure transactions and reports are audit-ready.

Accounts Payable

  • Prepare check requests for non-tax payroll withholdings, including annuities, life and health insurance, garnishments, and other applicable deductions, ensuring accuracy and timely payment.

  • Prepare accounts payable vouchers and supporting documentation for grant expenditures and monthly expenditure reports.

  • Process Cardinal and other vendor invoices through the computerized accounts payable system.

  • Verify invoices against purchase orders and receiving documentation, including quantity, unit cost, and appropriate authorization.

  • Review invoices for proper coding, approval, supporting documentation, and accounting period prior to processing.

  • Assist with reconciliation of accounts payable activity to the general ledger.

  • Research and resolve vendor statement discrepancies, duplicate invoices, outstanding payments, credits, and other accounts payable issues.

  • Distribute payroll checks during designated periods, when applicable.

Cash Receipts and Self-Pay Reconciliation

  • Receive and validate self-pay and co-payment collections in coordination with Revenue Cycle and/or billing staff.

  • Reconcile self-pay activity and cash receipts with the Practice Management System and general ledger.

  • Research discrepancies between cash collections, deposits, patient accounts, and accounting records.

  • Maintain appropriate documentation supporting daily deposits and reconciliations.

Purchasing and Inventory

  • Purchase supplies for the Health Center network, including office, medical, maintenance, furniture, and other authorized items.

  • Maintain inventory supplies at designated organizational locations.

  • Prepare purchase orders through the organization's purchasing and accounting systems.

  • Verify purchase orders, receipts, and invoices and resolve discrepancies with vendors and internal departments.

  • Manage vendor relationships, obtain competitive bids, and negotiate rates when appropriate and authorized.

  • Track and monitor inventory levels using the organization's accounting system and supporting schedules.

  • Assist with researching and negotiating contracts and lease agreements for copiers, medical equipment, and other significant purchases.

  • Ensure purchasing activities comply with organizational procurement policies, grant requirements, and applicable funding-source restrictions.

Grants and Special Projects

  • Assist with Statewide grant vouchering, reimbursement tracking, expenditure reconciliation, and supporting documentation.

  • Assist with reconciliation of grant expenditures to the general ledger and approved grant budgets.

  • Prepare accounting schedules and analyses in support of grant reporting and reimbursement requests.

  • Assist Finance leadership with special projects, financial analyses, account clean-up initiatives, and process improvements.

  • Participate in the implementation or enhancement of accounting, purchasing, financial reporting, and reconciliation workflows.

Internal Controls and Compliance

  • Follow established accounting policies, internal controls, segregation-of-duties requirements, and Finance Department procedures.

  • Ensure financial transactions are supported by appropriate documentation and approvals.

  • Maintain confidentiality of financial, payroll, patient, employee, vendor, and organizational information.

  • Identify accounting discrepancies or control concerns and promptly escalate them to the Controller, Chief Financial Officer, or designee.

  • Assist with the development and maintenance of standardized accounting procedures, reconciliation schedules, and documentation.

  • Maintain financial records in an organized and audit-ready manner.

Other Responsibilities

  • Provide backup support to other members of the Finance Department as needed.

  • Work collaboratively with Revenue Cycle, Grants, Operations, Human Resources, Purchasing, Pharmacy/340B, and other departments to resolve accounting and financial issues.

  • Respond to requests for accounting information and supporting schedules in a timely and professional manner.

  • Perform other accounting, financial, administrative, and special-project duties as assigned by the Chief Financial Officer, Controller, or designee.

KNOWLEDGE, EDUCATION, SKILLS, AND ABILITIES REQUIRED:

  • Bachelor's degree in Accounting, Finance, Business Administration, or a related discipline preferred; an equivalent combination of education and relevant accounting experience may be considered.

  • Minimum of one to three years of progressively responsible accounting experience preferred.

  • Healthcare, FQHC, nonprofit, or healthcare insurance accounting experience strongly preferred.

  • Demonstrated knowledge of general accounting principles, including journal entries, general ledger accounting, account reconciliations, accruals, revenue recognition, and financial reporting.

  • Demonstrated accounts payable and bank reconciliation experience.

  • Ability to analyze account activity, identify discrepancies, and independently research and resolve routine accounting issues.

  • Strong organizational skills with exceptional attention to detail and accuracy.

  • Ability to manage multiple priorities, meet established deadlines, and work effectively within a structured monthly close calendar.

  • Strong proficiency in Microsoft Excel, including the ability to prepare and maintain reconciliation schedules and financial analyses.

  • Proficiency in Microsoft Office applications, including Excel and Word.

  • Knowledge of Microsoft Dynamics or similar accounting/ERP software preferred.

  • Experience with healthcare practice management, billing, 340B, or related financial systems is preferred.

  • Strong written and verbal communication skills.

  • Ability to work effectively both independently and as part of a Finance team.

  • Must be mission-driven and committed to supporting the financial integrity and sustainability of Betances Health Center.

Pay: $55,000.00 - $60,000.00 per year

Benefits:

  • 403(b)

  • Dental insurance

  • Health insurance

  • Life insurance

  • Paid time off

  • Vision insurance

Work Location: In person