Accounting Operations & Oversight - Oversee all accounting functions, including general ledger, accounts payable, payroll, cash management, fixed assets, grants accounting (including calculation of indirect cost recovery rate), debt and other borrowings, and endowment accounting, ensuring accuracy and data integrity.
- Direct the month-end, quarter-end, and year-end closing processes to ensure accurate and timely review and approval of key reconciliations and journal entries.
- Maintain oversight of working capital, liquidity, and cash forecasting in coordination with the Associate Controller and CFO.
- Support audits, Board reporting, and regulatory filings related to debt and banking arrangements.
Financial Reporting - Oversee preparation of internal and external financial statements in accordance with GAAP for nonprofit organizations.
- Ensure high-quality, timely financial reporting to management, the Board of Trustees, auditors, regulators, and funding agencies.
- Support the CFO in preparing financial materials for Board and committee meetings.
Audits, Tax, and Regulatory Compliance - Lead all external audits, including the annual financial statement audit and Single Audit; serve as primary liaison with external auditors.
- Oversee preparation and filing of Form 990, Form 990‑T, and related federal, state, and local tax filings, including sales tax and information returns.
- Ensure compliance with city, state, and federal funding requirements, grant agreements, and donor restrictions.
- Maintain strong documentation, controls, and audit readiness across all finance functions.
Endowment & Investment Accounting - Oversee accounting and reporting for the institution’s endowment, including investment activity, spending policy calculations, unitization, and compliance with donor restrictions.
- Coordinate with investment managers, custodians, and internal stakeholders to ensure accurate, timely, and transparent reporting.
Debt, Borrowings & Banking Relationships - Oversee all Garden debt, lines of credit, and other potential borrowing arrangements, including tracking spending, maintaining amortization schedules, and ensuring timely debt service, swap and interest payments.
- Partner with the CFO on any financing-related initiatives, refinancing, or new borrowings by providing accounting, compliance, and reporting expertise.
- Monitor compliance with debt covenants, reporting requirements, and contractual terms, and ensure accurate accounting and disclosure in accordance with GAAP.
- Liaise with the Garden’s banking partners, maintaining strong relationships to support operational, treasury, and compliance needs.
- Oversee banking activities, including cash accounts, merchant services, lockboxes, and treasury platforms, ensuring appropriate internal controls and timely bank reconciliations.
Systems, Process Improvement & Controls - Lead the implementation and continuous improvement of financial systems, reporting tools, and accounting processes.
- Champion best practices in financial technology, automation, and data integrity, working closely with IT and financial systems leadership.
- Continuously evaluate and strengthen internal controls, policies, and procedures across the Garden.
- Play a leadership role in ERP governance and major finance-related system initiatives.
Cross-Functional Partnership - Serve as a trusted financial partner to department leaders, providing guidance on accounting treatment, compliance, and financial operations.
- Collaborate closely with Budget & Planning, Grants Management, and Advancement teams to ensure accurate financial data flows and reporting.
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