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Sr. Accountant Job NY

Job in New York City, Richmond County, New York, USA
Listing for: Robert Half
Full Time position
Listed on 2026-08-22
Job specializations:
  • Accounting
    Financial Reporting, Senior Accountant, Accounts Receivable/ Collections
Job Description & How to Apply Below
Position: Sr. Accountant Job  NY | Robert Half

Sr. Accountant

We are looking for a Sr. Accountant to join a non-profit organization in New York, New York on a long-term contract assignment. This position will play a central role in revenue accounting, cash activity, and fund-based reconciliations while helping maintain accurate financial records and compliance with nonprofit accounting standards. The ideal candidate will bring strong experience in general ledger work, month-end close, journal entries, and account reconciliation, along with the ability to manage donor-related transactions with precision.

Responsibilities:

  • Oversee the review of incoming contribution and revenue activity from donor management records to confirm accuracy, correct fund assignment, and adherence to donor restrictions before recording in the accounting system.
  • Record approved financial transactions promptly in the general ledger and maintain accurate supporting documentation for each entry.
  • Partner with internal teams to complete monthly reconciliations between fundraising and accounting platforms, research variances, and prepare journal entries for review and resolution.
  • Administer deposit activity by processing checks through remote deposit tools, handling in-person deposits when needed, and matching daily receipts to contribution reports.
  • Prepare daily cash reporting to support visibility into liquidity and ensure all cash handling procedures follow established internal control standards.
  • Coordinate the receipt and accounting of stock contributions, maintain detailed transfer records, and communicate activity quickly to relevant stakeholders for timely acknowledgment and reporting.
  • Complete monthly reconciliations for bank and investment accounts, including restricted and endowment-related balances, within established close deadlines.
  • Analyze general ledger accounts, investigate outstanding reconciling items, and maintain organized electronic files in accordance with finance documentation policies.
  • Support the monthly close process by producing trial balance information, performing balance sheet and income statement analysis, and explaining notable variances.
  • Assist with audit preparation, remittance tracking, and other assigned budgeting, forecasting, and financial reporting activities.
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