Administrative Coordinator - Finance
Salary Range: $50,000.00 To $60,000.00 Annually
This is a temporary role covering a leave that could be up to 6 months and possibly extended
ABOUTUS:At West Coast Seniors Housing Management, we see our communities as a family and we are equally committed toour residents and our staff. We provide an engaging work environment and treateach other with respect and dignity. We invest in the growth and development ofour teams to actively participate in the creation of memories and moments that matter to our residents.
SUMMARYOF POSITION:Reporting to the General Manager and/or designate, the Administrative Coordinator may provide confidential administrative support to the General Manager and other members of the management team. Central responsibilities include Financial Management (may include trust account maintenance), Reception (either full time or coverage for breaks), and entering
Admission, Discharge & Transfer data into the Resident Management System (RMS), and Care Management System (CMS). An ability to communicate effectively with staff, residents and their families is essential. This position may also require a good working knowledge of the facility
Collective Agreement(s) to ensure Articles are adhered to, including:scheduling, leave of absences, seniority, vacancy postings, overtime, shift premiums and sick time allowance.
Include but not limited to:
- Be an engaged collaborative team player, developing and maintaining professional relationships that support and strengthen the organizational culture and purpose.
- Performa variety of duties related to the financial management of the organization such as preparation of financial reports, coding all accounts payable invoices,monthly bank reconciliation, and collections of past due accounts.
- Setup Electronic Funds Transfer (EFT), discharge resident refunds, invoicing tothird parties (i.e. MHR, DVA, Health Authorities, BC Housing) and annual resident income tax statements.
- Process deposits and complete daily bank runs (if applicable).
- Maintain the petty cash fund by performing duties such as maintaining records of transactions, requesting additional money as required and completing related reports.
- Participate in maintaining the Resident Trust Fund by performing duties such as receiving requests, recording transactions, maintaining ledger accounts, advising resident/families when additional funds are required and reconcile trust account monthly.
- Report monthly financial reconciliations to Head Office (if applicable).
- Process all payables related items to include supplier invoices, purchase orders and receiving reports (if applicable). Processing payables includes: attach payables processing form to invoice ensuring correct coding and distribution of charges. GM to authorize all invoices prior to submittal to Head Office.
- Produce a variety of confidential documents for the General Manager and management team members including correspondence, memos, reports, minutes, budget statements and meeting agendas using a range of word processing and spreadsheet software packages (if applicable).
- Design and maintain records, files and distribution systems for correspondence, reports and minutes within the Administration area.
Maintains resident records and storage of terminated records. - Complete forms as needed for the Health Authority and Stats Canada.
- Performs a variety of duties related to the staffing for the facility including maintaining timekeeping records for staff for payroll purposes, as well as, maintaining related records such as staff names, addresses, phone numbers and availability for work.
- Answers the telephone, greets and screens both callers and visitors, responds to requests by providing information directly or directing inquiries…
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