Nonprofit Accountant
Listed on 2026-03-03
-
Finance & Banking
Financial Reporting, Financial Analyst, Accounting & Finance -
Accounting
Financial Reporting, Financial Analyst, Accounting & Finance
Position Summary
Position Title: Accountant
Reports To: Deputy Director
FLSA Classification: Exempt, Full-Time
** Salary: *
* starting at $ 62,000 annually, DOE
The Accountant is responsible for ensuring the accurate tracking, allocation, and reporting of organizational expenditures to support CATCH’s programs. The role manages day-to-day accounting functions, maintains the integrity of financial data, and ensures compliance with grant and funder requirements. This position reports to the Deputy Director and works closely with the entire administration team.
Every Family. Every Person. A Home. A deep belief that everyone deserves stable and permanent housing is at the core of our culture. We end homelessness in Idaho’s Treasure Valley by inspiring stable housing, financial independence, and resilience. Our employees fuel the work that we do and we support your wellbeing with a 32hr work week and a competitive benefits package in which the organization pays 100% of employee medical, vision, and dental insurance.
Key Responsibilities General Bookkeeping and Grant Tracking (40% of time)- Reviews organizational expenses weekly and monthly, allocating costs accurately across grants and funding sources to maximize reimbursement.
- Processes accounts payable and receivable.
- Records daily transactions in Quick Books Online.
- Maintains organized digital filing systems for financial documentation.
- Ensures all expenditures comply with grant agreements, budgets, and allowable cost requirements.
- Tracks grant spending to ensure 100% of awarded funds are expended prior to grant end dates.
- Maintains grant tracking schedules, supporting documentation, and audit-ready records.
- Communicates regularly with supervisor and Program Directors regarding grant balances, spending trends, and funding limitations.
- Guides best practices related to grant accounting policies, procedures, and internal controls.
- Attends Finance Committee meetings, relevant Board of Directors meetings, and seeks continuing education training.
- Is responsible for the regular entry and accrual of payroll expenses into Quick Books, ensuring program and grant allocations are accurate in coordination with the Deputy Director and Development Staff.
- Manages daily cash flow and liquidity
- Manages all bill pay and expense workflows, including utilization of checks, online bill pay, and
- Manages vendor relationships and payment schedules.
- Follows established internal control procedures, including segregation of duties and approval workflows.
- Reviews, codes, and processes expenses to ensure accurate grant and fund allocation.
- Monitors organizational spending for accuracy, allowability, and budget alignment.
- Identifies and corrects misallocated or unallowable expenses in coordination with program staff.
- Provides guidance to staff and Program Directors regarding appropriate expense coding and grant-related spending.
- Communicates financial information clearly to non-financial staff.
- Prepares and submits monthly reimbursement invoices to funders.
- Completes required financial reporting (monthly, quarterly, annually) and reports to the Finance Committee.
- Reviews and analyzes financial data regularly to ensure accuracy and completeness.
- Responds to funder, auditor, and leadership inquiries related to financial reports and expenditures.
- Supports internal and external audits by preparing documentation and responding to requests.
- Collaborates with the Deputy Director to provide grant income and expenditure data for organizational budgets.
- Supports budget monitoring and financial forecasting for grant-funded programs.
- Act as primary liaison between CATCH and the external audit firm for yearly Financial Audit, Single Audit, and 990 preparation.
- Manages and maintains the organization’s Quick Books Online accounting system.
- Performs weekly account reconciliations to ensure timely identification of discrepancies.
- Coordinates and completes the month-end close process.
- Reviews journal entries and corrections to maintain financial integrity.
- Ensures accounting processes and procedures…
(If this job is in fact in your jurisdiction, then you may be using a Proxy or VPN to access this site, and to progress further, you should change your connectivity to another mobile device or PC).