Accountant, Financial Reporting, Accounts Receivable/ Collections
Listed on 2026-07-21
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Accounting
Financial Reporting, Accounts Receivable/ Collections, Staff Accountant -
Finance & Banking
Financial Reporting, Accounts Receivable/ Collections
NMC is currently recruiting an Accountant, in the Finance Department. The position is full-time (80 hours bi-weekly), generally Monday-Friday 8:00 a.m.
- 4:30 p.m. Northwestern Medical Center’s mission is to provide exceptional health care to our community. Join our high reliability team! With “people” as one of our core values, valuing our employees is a top priority for Northwestern. We care about our employees, their families, and their overall health & well-being. We are proud to offer a generous benefits package, with recognized national carriers, designed to help our people stay healthy, balance work & life responsibilities, protect your assets & plan for a secure financial future.
Hiring Range: $50,502 - $81,785
AccountantJob Summary
Under the direction of the Director of Finance/Controller, the Accountant performs various accounting functions including reconciliations, journal entries and financial statement preparation in accordance with generally accepted accounting principles.
PrerequisitesEducation: Minimum of an Associate Degree in Accounting. Bachelor Degree preferred.
Experience: 2-5 years accounting experience, healthcare experience preferred.
RelationshipsReports To: Director of Finance/Controller
ScopeMachinery or Equipment Used: Personal computer, calculator, photocopier, fax machine
Physical Demands: Moderate physical activity with some lifting, extended periods of data entry and computer work
Working Conditions: Temperature controlled environment
Essential Functions- Performs General Ledger Maintenance.
- May include reconciliations of individual general ledger accounts, creation of journal entries, review and post general ledger batches from subsidiary ledgers (ex: BAR, MM, Payroll). Assist with month-end closing activities for preparation of monthly financial statements and schedules.
- Maintain files for various general ledger accounts, including miscellaneous accounts receivable, community programs, etc.
- Performs accounting duties for other entities.
- Organization-wide daily collection of cash activity and replenishment of petty cash. Prepare cash deposits, cash-related journal entries, and maintain internal cash-clearing reconciliation. Reconcile bank receipts and variances with appropriate departments within the organization.
- Prepares monthly bank account reconciliations and/or balance sheet account reconciliations for review, which may include resolution of variances and preparation of correcting adjustments.
- Assists in other Fiscal Services projects as needed.
- Assists in performing periodic physical inventories of fixed assets and reconciling results to the detail fixed asset listing, and assists in periodic petty cash counts.
Equal Opportunity Employer
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