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Bookkeeper

Job in Great Barrington, Berkshire County, Massachusetts, 01230, USA
Listing for: OES Learning Solutions
Full Time position
Listed on 2026-06-18
Job specializations:
  • Accounting
    Bookkeeper/ Accounting Clerk, Financial Reporting, Accounts Receivable/ Collections, Office Administrator/ Coordinator
  • Finance & Banking
    Bookkeeper/ Accounting Clerk, Financial Reporting, Accounts Receivable/ Collections, Office Administrator/ Coordinator
Salary/Wage Range or Industry Benchmark: 60000 - 73000 USD Yearly USD 60000.00 73000.00 YEAR
Job Description & How to Apply Below

Organization: Construct Center for Affordable Housing

Location: Great Barrington, Massachusetts – serving renters throughout the southern Berkshires region

Position: Bookkeeper

Employment Type: Full time

Salary Range: $60,000 to $73,000 per year

Mission

To change and save lives through housing options and a continuum of related services.

Vision

A socially vibrant and economically healthy community with housing for everyone, including the most vulnerable residents and our essential workers.

Overview

Construct Center for Affordable Housing seeks an experienced bookkeeper for day‑to‑day financial administration of the organization and its affiliates, including processing income and expense, bank reconciliation, and preparation for audits and year‑end reports. The ideal candidate supports the organization’s mission while remaining focused on the administrative role.

Qualifications
  • 2+ years of experience in a related field
  • Strong familiarity with Quick Books
  • Proficient in Microsoft Office suite
  • Strong organizational and analytical skills—detail oriented
  • Experience in housing development or operations is preferred
  • Experience with nonprofit organizations is preferred
  • Able to work well independently as well as with teams of staff and board members
Tasks
  • Ensure timely processing of payroll
  • Process organizational 401(k) contributions through Mass Core Empowerment
  • Record purchases, expenses, invoices, and payments
  • Categorize expenses and revenues
  • Input transactions into correct ledgers
  • Reconcile accounts and bank statements to the company’s financial records
  • Identify discrepancies and missing transactions
  • Ensure accuracy and compliance with tax laws
  • Prepare cash flow statements, reconciliation statements, and profit and loss statements
  • Assist with budget preparation and monitoring
  • Monitor accounts payable and receivable
  • Pay vendors as bills come due
  • Work with Treasurer and senior staff on budget preparation, annual audit and financial reviews
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