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Comptroller

Capital District YMCA
locationAlbany, NY, USA
PublishedPublished: 6/14/2022
Full Time

Job Description

Job Description

The Capital District YMCA is searching for a Comptroller to provide direction and leadership for the CDYMCA finance and business operations. This position reports directly to the SVP/CFO and helps supervise the CDYMCA’s accounting practices, the maintenance of its fiscal records, and the preparation of its financial reports. Ensures a system of strong internal controls maintains fiscal soundness, and oversees Billing Staff.

Qualifications:

  • Bachelor’s degree in business, finance or equivalent; MBA, CPA or CMA preferred
  • Previous experience with nonprofit organizations, preferred
  • Five to seven or more years of substantive experience in accounting and financial management
  • Knowledge and understanding of general business matters required including but not limited to,
    • budget development
    • financial reporting
    • cash management
    • depreciation schedules
    • sales tax reporting
  • Must be a team player with good organization and communication skills
  • Must possess excellent people skills to lead a team and regularly interact with Senior Management and Operations staff

Essential Functions:

  • Manages all functions of accounting and billing service operations, ensuring that legal and audit requirements are met and best practices
    with maximum efficiency are obtained.
  • Hires, trains, and oversees assigned staff, providing direct supervision, arranges backup for staff as needed.
  • Oversees and provides leadership to the annual budget process, including issuing guidelines and procedures, training staff, auditing
    budgets, overseeing required data input, and preparing reports.
  • With the SVP/CFO assist in the implementation of appropriate systems and internal controls to adequately safeguard the YMCAs
    financial resources and to provide a solid basis for accurately reporting financial data.
  • Oversees the month-end and year-end closings and the preparation of statements and reports, including cash flow projection process and reporting.
    Manages the bank treasury functions and oversees cash management.
  • Collects, maintains data, and provides reports for government contracts and grants. Ensures compliance with all requirements of
    local, state, and federal grants including but not limited to Single audit requirements.
  • Performs other duties as assigned

Salary Range $85,000 - $95,000Benefits include, but are not limited to:

  • Vacation
  • Medical
  • Dental
  • Vision
  • YMCA Retirement Fund - 12% contribution on your behalf
  • 403(B) Savings Plan
  • Tuition Assistance
  • Employee Discounts
  • Free Family Membership
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