Staff Accountant - Remote Opportunity
Overview
Join our dynamic finance team as a Staff Accountant, where you will play an essential role in streamlining financial processes and ensuring the accuracy of accounting close functions while supporting revenue validation. Collaborate with a diverse group of professionals, including financial analysts and corporate leadership, to uphold the integrity of our financial information.
Key Responsibilities
• Execute daily cash management tasks, including updating cash flow reports and addressing Positive Pay uploads.
• Assist in the monthly accounting close, which includes preparing bank reconciliations, posting journal entries, and reconciling balance sheets.
• Regularly maintain and update balance sheet schedules.
• Compile deposit documentation and prepare summary reports for the Financial Analyst team, ensuring correct GL code assignments for posting.
• Process revenue files, including capitation and other cash receipts, while accurately assigning GL codes.
• Validate data across multiple platforms to maintain consistency in Claims Detail, Power BI, bank activities, and high-cost transactions.
• Generate and compile various monthly claims payments and payables reports.
• Support Financial Analysts by maintaining schedules for financial performance summaries, detailing data by health plan, line of business, and aide codes.
• Prepare schedules and documentation in anticipation of year-end and mid-year audits.
• Conduct research and matching of claims expenses to open authorizations.
• Provide overall support to the financial analysis team, managing additional tasks and preparing ad-hoc reports as necessary.
Qualifications
• A Bachelor’s degree in accounting, finance, or a related field (alternatively, an equivalent combination of education and experience).
• A minimum of 2 years’ experience in healthcare finance, physician organizations, or health plan management is advantageous.
Required Skills
• Proficiency in Microsoft Excel (including pivot tables, VLOOKUP, and HLOOKUP), PowerPoint, and MS Access.
• Familiarity with MAS200 and EZ-Cap is a plus.
• Strong background in accounting close procedures and general ledger reconciliation.
• Excellent analytical skills with a comprehensive understanding of financial statement analysis.
• Outstanding communication abilities, capable of delivering accurate work, meeting deadlines, and producing effective reports.
• Strong organizational skills to prioritize tasks and manage multiple responsibilities independently.
• Detail-oriented mindset with proficient proofreading and editing skills.
• High level of confidentiality in handling sensitive financial information, in compliance with HIPAA regulations.
Career Growth Opportunities
This position offers significant potential for professional development and skill enhancement through collaboration with seasoned financial professionals, along with exposure to diverse financial tasks and processes that facilitate career advancement within the finance sector.
Company Culture And Values
We foster a collaborative work environment that encourages open communication and mutual support among team members. Our culture emphasizes accountability, integrity, and a commitment to excellence, making it an ideal place for professionals seeking to grow their careers while contributing to impactful financial operations.
Employment Type: Full-Time
Location :Washington, District of Columbia, United States, 20036