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Sr Accountant (Non-profit, Cleantech Incubator

Job in Los Angeles, Los Angeles County, California, 90079, USA
Listing for: Los Angeles Cleantech Incubator
Full Time position
Listed on 2026-08-06
Job specializations:
  • Accounting
    Financial Reporting, Financial Compliance
Salary/Wage Range or Industry Benchmark: 90000 - 103000 USD Yearly USD 90000.00 103000.00 YEAR
Job Description & How to Apply Below
Position: Sr Accountant (Non-profit, Cleantech Incubator)

About LACI

The Los Angeles Cleantech Incubator (LACI) is a nonprofit organization creating an inclusive green economy by unlocking innovation (through working with startups to accelerate the commercialization of clean technologies), transforming markets (through catalytic partnerships in zero emission transportation, clean energy and sustainable cities) and enhancing communities (through workforce development, pilots and other programs). Originally founded as an economic development initiative by the City of Los Angeles and its Department of Water & Power (LADWP), LACI is recognized as one of the most innovative business incubators in the world.

Learn more

Position Summary

The Senior Accountant is responsible for the day-to-day accounting operations of the organization and serves as the primary owner of the month-end and year-end close processes, general ledger integrity, and financial reporting accuracy. Reporting to the Vice President of Finance, this role ensures all financial transactions are recorded accurately and in accordance with U.S. GAAP, nonprofit accounting standards, and applicable grant and donor requirements.

The Senior Accountant plays a critical role in maintaining strong internal controls, supporting audit readiness, and ensuring the integrity of financial data used for organizational decision-making. This position partners closely within the Finance Team to ensure accurate and timely financial data supports budgeting, forecasting, reporting, and organizational decision-making.

What You’ll Do
  • General Accounting & Close:
    Execute the month-end and year-end close processes to ensure timely and accurate financial reporting. Prepare, review, and post journal entries including accruals, allocations, and recurring entries. Perform and review balance sheet account reconciliations and monitor general ledger activity to ensure accuracy. Coordinate accounting close timelines and deliverables across Finance to support timely financial reporting. Identify and implement process improvements to strengthen close efficiency and accurac
  • Financial Reporting & General Ledger Integrity:
    Prepare accounting schedules and financial data supporting monthly and annual reporting. Ensure financial statements are accurate and aligned with U.S. GAAP and nonprofit accounting standards. Maintain integrity of the general ledger structure, including chart of accounts maintenance/updates. Support preparation of financial reporting materials. Ensure consistency and accuracy of financial data used across Finance functions
  • Grants, Restricted Funds & Revenue Accounting:
    Record and track restricted and unrestricted grant revenue in accordance with donor and funder requirements. Record and monitor grant-related expenditures in accordance with approved budgets and funding restrictions. Prepare grant financial reports and supporting schedules for funders and auditors. Maintain accurate tracking of program and grant activity within the general ledger. Support compliance with federal, state, and private grant requirements, including Uniform Guidance (2 CFR Part 200)
  • Audit, Compliance & Internal Controls:
    Coordinate audit preparation, including schedules, documentation, and auditor requests. Support the annual financial statement audit and Form 990 preparation. Maintain and support implementation of internal control procedures across accounting operations. Ensure adherence to organizational policies and financial governance standards. Support compliance with nonprofit regulatory and reporting requirements.
  • Treasury & Cash Reconciliation Support:
    Perform and review bank reconciliations and resolve discrepancies in a timely manner. Monitor bank and cash activity to ensure accurate recording in the general ledger. Support reconciliation of cash accounts and related balance sheet accounts. Ensure proper documentation and support for all cash-related transactions. Provide accounting inputs and reconciliations to support cash flow reporting and liquidity analysis
Why You’re Right for the Job
  • You’re super organized. In fact, your organization, attention to detail and time management skills are award-worthy! (Color-coded Excel…
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