Accounts Receivable Coordinator
Listed on 2026-10-04
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Accounting
Office Administrator/ Coordinator, Accounts Receivable/ Collections, Bookkeeper/ Accounting Clerk -
Administrative/Clerical
Office Administrator/ Coordinator, Bookkeeper/ Accounting Clerk
Description:
Accounts Receivable Coordinator
Supports:
Finance & Operations
Organizational Reporting:
Executive Director
Role Type:
Part-Time Staff Role (29 hours per week)
The Accounts Receivable Coordinator role exists to faithfully receive, record, and report every gift and every dollar of income entrusted to Plainfield Christian Church, and to keep the church’s books for all income. This role ensures that giving is processed accurately and promptly, that givers are thanked and served well, and that leadership has timely, trusted information about the church’s income.
This role is both relational and operational. It works alongside the Accounts Payable Coordinator, who keeps the books for money going out, within a finance structure that deliberately separates the handling of money coming in from money going out, a practice that protects the congregation, the staff, and the church’s witness.
Core Role Job Products- Coordinate weekly counting with the counting team, receiving count sheets and deposits under established dual-control procedures.
- Create batches, enter gifts, and post giving batches in REALM each week.
- Reconcile online, text, and kiosk giving to processor deposits.
- Record each week’s deposits in the accounting system and reconcile posted giving to the bank deposit, resolving any variances promptly.
- Set up and maintain giving funds, pledges, and campaigns in the accounting system, mapping each new fund to the correct general ledger account before first use.
- Maintain accurate contributor records as they relate to giving and statements.
- Manage online, text, and kiosk giving configuration.
- Serve as the point of contact for giving-related REALM questions, and train staff and counting volunteers on giving processes.
- Record investment and interest income monthly and reconcile each investment account in the accounting system.
- Receive, document, and deposit departmental and program income, including event registrations, preschool, facility use, and resale.
- Confirm that every income item is recorded to the correct fund and ministry.
- Prepare and publish the weekly giving report.
- Post income-side journal entries and complete the income portion of the month-end close, with any manual journal entry approved by the Executive Director.
- Reconcile every church bank account monthly in the accounting system, independently confirming that each disbursement clearing the bank matches an authorized payment, and submit each reconciliation to the Executive Director for sign-off.
- Prepare the income section of the month-end financial reports and explain variances to leadership.
- Generate and distribute quarterly and year-end contribution statements accurately and on time.
- Respond to giver questions about their giving with warmth, discretion, and accuracy.
- All the above to be facilitated with an awareness that every gift is an act of worship and trust, and with an eye toward gratitude and warmth, including toward PCC’s One (e.g. lost, unchurched, new/newish people) who may be giving for the first time.
- Document requests, approvals, and questions in writing so the church’s financial records carry a clear audit trail.
- Provide finance updates during bi-weekly Operations Team meetings.
- Cross-train with the Accounts Payable Coordinator to provide coverage during absences, following documented coverage procedures, and model a collaborative, servant-hearted posture within the staff team.
- Demonstrated proficiency in Microsoft…
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