Senior Accountant

Covenant House Texas

$83K — $90K *
US-AnywhereRemote in New York, NY
Education, Government & Non-Profit
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's degree in Accounting, Finance, or related field
  • 7+ years of progressively responsible accounting experience
  • Experience with grant accounting including restricted net assets and funder reporting
  • Proficiency in reconciling grant activity between grant management systems and ERPs like NetSuite
  • Experience with intercompany reconciliations across multiple entities
  • Experience supporting audits and preparing financial statements
  • Willingness to provide interim support to affiliate sites as needed

Responsibilities

  • Lead month-end and year-end close activities with a focus on accuracy
  • Reconcile grant transactions and ensure compliance with grant terms
  • Prepare consolidated financial reports including adjustments for multi-currency and eliminations
  • Support global financial closing processes across affiliates
  • Provide interim finance coverage for affiliate sites during vacancies
  • Assist with board and donor reporting packages and special projects
  • Collaborate with affiliate finance teams to train on procedures and systems

Benefits

  • Fully remote position with flexible work arrangements
  • Opportunity for professional growth in a dual reporting structure
  • Engagement in financial compliance and auditing processes
  • Hands-on involvement in diverse accounting areas such as grant and investment accounting
  • Access to advanced financial systems like NetSuite
Full Job Description
About the Role

The Senior Accountant plays a dual role supporting the scaling needs of the Finance Department. Approximately half of this role supports the Controller on general accounting close, grant accounting, and audit support, and approximately half supports the SVP of Finance on global close, consolidation reporting, and interim finance coverage for affiliate sites.

You will manage complex accounting areas including grant accounting, prepaid expenses, donor-restricted investment activity, and liability reconciliations, while serving as a key contributor to the organization's global consolidation process in NetSuite. You will also support both the stand-alone entity audit and the consolidating/group audit, and serve as a resource to affiliate finance teams, including stepping into a hands-on, interim capacity when a site has a finance role vacancy.

In this role, you will report directly to the Controller and work in a matrixed capacity with the SVP of Finance. You will have the opportunity to support accurate financial reporting, audit readiness, and compliance across the parent organization and its affiliates.

Essential Duties and Responsibilities

Controller Support - General Accounting Close & Grant Accounting (≈ 50%)
  • Lead assigned month-end and year-end close activities including journal entries, reconciliations, financial analyses, and supporting schedules
  • Investigate and resolve variances and ensure assigned accounts are audit-ready
  • Reconcile grant transactions and journal entries and apply invoice payments
  • Reconcile grant activity between PyanGo and NetSuite to ensure compliance with grant terms
  • Own prepaid expense accounting including analyses, amortization entries, and reconciliations
  • Manage donor-restricted investment accounting including journal entries, analyses, releases, and reconciliations
  • Own assigned liability and balance sheet account reconciliations
  • Reconcile intercompany balances and transactions between parent and affiliates
  • Build, maintain, and refine NetSuite saved searches, reports, and validation tools
  • Manage corporate credit card reconciliation including matching activity to receipts and resolving exceptions
  • Support the Controller on stand-alone and consolidating/group audits including PBC checklist management, schedule preparation, and auditor requests
  • Provide occasional backup support for AP operations and the daily cash report (preparer-only)


SVP of Finance Support - Global Close, Consolidation & Site Coverage (≈ 50%)

  • Support global monthly, quarterly, and annual close across affiliates


  • Prepare and maintain consolidated financial reporting in NetSuite including eliminations, multi-currency translation, and consolidation adjustments


  • Provide interim finance coverage to affiliate sites experiencing finance vacancies


  • Support IRS Form 990 consolidated/group return schedules


  • Support board and donor reporting packages, ad hoc financial analysis, and special projects


  • Perform data validation and variance analysis across systems and schedules


Cross-Cutting Responsibilities

  • Leverage advanced Excel functions (VLOOKUP/XLOOKUP, SUMIFS, IF formulas, pivot tables)
  • Support annual audit processes for assigned areas
  • Collaborate across departments and affiliate finance teams
  • Assist in training affiliates on finance procedures, documentation, and NetSuite/AP automation tools


Segregation of Duties & Internal Controls

  • Journal entries and reconciliations prepared by this role require independent review and approval


  • No disbursement authority; AP support is preparer-only


  • Site-vacancy coverage is recording-only; approvals remain with site leadership


  • Grant setup is performed by AVP of Grant Management; this role performs reconciliation only


  • Credit card reconciliation is independent; this role does not approve its own card activity


  • Consolidation entries require SVP of Finance review


  • Audit support is preparer-level; significant accounting judgments are escalated


  • Interim site assignments are time-bound with defined start/end dates


Required Knowledge, Skills and Abilities
  • Advanced ERP experience, preferably NetSuite (OneWorld/multi-entity consolidation)
  • Strong Excel skills (VLOOKUP, XLOOKUP, SUMIFS, IF formulas, pivot tables)
  • Ability to independently prepare complex reconciliations, analyses, audit schedules, and reporting packages
  • Experience reconciling corporate credit card programs and expense management platforms
  • Familiarity with nonprofit accounting concepts including net assets with and without donor restrictions
  • Strong attention to detail, organizational skills, and time management
  • Ability to manage multiple projects and competing priorities across two distinct responsibility areas
  • Effective communication skills and ability to collaborate across departments and affiliates
  • Ability to work independently, exercise judgment, take ownership, and escalate control-related boundaries appropriately

Required Qualifications
  • Bachelor's degree in Accounting, Finance, or related field
  • Seven or more years of progressively responsible accounting experience
  • Experience with grant accounting including restricted net assets, draw-downs, and funder reporting
  • Experience reconciling grant activity between grant management systems (e.g., PyanGo) and ERPs (e.g., NetSuite)
  • Experience with intercompany reconciliations across multiple related entities
  • Experience supporting audits and financial statement preparation
  • Willingness and ability to provide short-term interim support to affiliate sites

Preferred Knowledge, Skills, Abilities and Qualifications
  • Experience working in a nonprofit parent entity environment and supporting affiliates
  • Experience with multi-entity or global consolidations including eliminations and multi-currency translation
  • Experience assisting a Controller or Finance leader with external audit coordination
  • Experience supporting IRS Form 990 processes
  • Mission-driven and comfortable in a collaborative nonprofit environment
  • Ability to balance recurring Controller-facing responsibilities with SVP-facing consolidation priorities
  • Strong problem-solving skills, critical thinking, and professional judgment
  • Ability to identify risks, present recommendations, and flag segregation-of-duties concerns
  • Ability to build effective working relationships across departments and affiliates

Travel Requirements

  • Ability to travel once per year to New York City in October for annual in-person traditions


  • 1-2 additional team meetings per year in NYC
  • Outside of the above travel, this position is 100% remote


Department Finance Locations Remote USA Remote status Fully Remote Yearly salary $83,640 - $90,000

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