Cash, Banking & Treasury
Perform monthly bank and investment account reconciliations and resolve reconciling items promptly.
Review expense postings to ensure proper coding to programs and grants.
Monitor daily cash position, support cash flow forecasting, and assist the Controller and CFO with treasury and liquidity management.
Record and verify cash receipts and disbursements and ensure proper general ledger coding for banking activity.
Revenue Billing & Contract Management
Prepare, review, and submit accurate invoices for government contracts and grants, managed care contracts, and fee-for-service agreements on the required schedule.
Use the NetSuite billing module to determine billing triggers and revenue timing across fixed-fee, cost-plus, unit-rate, and milestone structures.
Maintain a billing calendar, contract master files, and billing templates; assess the impact of contract modifications and amendments.
Coordinate with program staff to gather supporting data and reconcile source data to billing records before invoicing.
Grant & Government Contract Management
Manage the lifecycle of government grant and contract revenue — award setup, drawdown, reimbursement requests, and closeout — and maintain separate tracking of restricted and unrestricted funds in accordance with ASC 958.
Review the coding and validity of expenses charged to each grant and contract to ensure costs are allowable, allocable, and properly supported.
Reconcile cost allocations across contracts and grants and calculate and apply the indirect cost rate consistently across all funds per the negotiated rate agreement.
Prepare and reconcile fund balance reports; partner with the program team to ensure cost allocations comply with grant terms and funder budgets.
Support Single Audit (Uniform Guidance / 2 CFR Part 200) compliance through organized, auditable grant files and timely responses to auditor requests.
Collections, Process Improvement & Audit Support
Monitor AR aging, follow up on past-due balances, and report AR and DSO metrics to management.
Resolve billing, coding, and posting errors; prepare correcting entries and perform root cause analysis to prevent recurrence.
Identify and implement automation and process improvements for recurring entries, reconciliation, and close workflows using NetSuite tools.
Document and maintain SOPs across accounting, billing, grant, and close processes, and support external audits and funder-monitoring visits.
QUALIFICATIONS
SPECIAL REQUIREMENTS
Candidates must be permanently authorized to work in the United States. We do not provide immigration support or employment-based visas for this role at this time. Candidates must meet I-9 employment eligibility requirements. Relocation assistance is not currently offered for this position.

Our mission is to ensure everyone in our community has a home through supportive, equitable, and sustainable housing solutions. We envision a world where everyone has food and housing security in a caring community they call home.