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Accounting Clerk-San Diego

Job in San Diego, San Diego County, California, 92189, USA
Listing for: The Salvation Army Southern California
Full Time position
Listed on 2026-01-27
Job specializations:
  • Administrative/Clerical
    Office Administrator/ Coordinator
Salary/Wage Range or Industry Benchmark: 21 USD Hourly USD 21.00 HOUR
Job Description & How to Apply Below

1 month ago Be among the first 25 applicants

About The Arc The Salvation Army (TSA) Adult Rehabilitation Center (ARC) is a no-fee program to assist men & women in their journey to complete our rehabilitation program. We are grateful for the contributions our valued employees make toward the maintenance and effectiveness of the programs. The organization is indebted to and dependent on the diligence and devotion of its employees.

Pay Rate: $21.00/hr.

About Our Administration Team Become part of the dedicated ARC Administration Team at The Salvation Army! Together we can continue to serve and impact our local community, through the commitment to “Do The Most Good” at our San Diego location which supports the Adult Rehabilitation Program. This is an opportunity to develop your analytical and clerical skills, while contributing to the success of our Program and its participants.

Employee

Benefits Offered
  • Opportunity for career growth
  • Paid time off
  • Employee Discounts
  • Employee Referral Bonuses
  • Medical, Dental, and Vision
  • Retirement Plan
  • AFLAC
  • Employee Assistance Program (EAP)
Job Summary

Match invoices with request to purchase and purchase orders and transmit to THQ Finance Dept. Handle miscellaneous income, including receiving, receipting, and depositing. Maintain petty cash fund. Maintain internal controls for food stamps, beneficiary accounting records, bale inventory, and truck seals. Process daily store sales reports for transmission to THQ Finance Dept. Submit bi-weekly payroll.

Responsibilities
  • Payables – Receive all invoices and statements for the center, match invoices and/or statements with packing slips, delivery slips, request to purchase and purchase orders; have administrator review and initial all invoices; fill out transmittal form and transmit to THQ Finance Dept.; issue blank purchase orders to designated person and maintain log of issued purchase orders; maintain control and security of check inventory on hand;

    process emergency check as directed by THQ Finance Dept.
  • Petty Cash – Sign for and be responsible for petty cash; reimburse qualified expenses with petty cash; prepare petty cash reimbursement form to get petty cash fund reimbursed; submit petty cash reimbursement form to THQ Finance Dept.
  • Cash Receipts – Receive miscellaneous income; receipt miscellaneous income in cash receipt book; make daily deposit of miscellaneous income; prepare transmittal and transmit required information to THQ Finance Dept.
  • Food Stamps – Receive food stamps and maintain security and control; maintain food stamp control log.
  • Store Sales – Review daily store sales reports for accuracy and completeness; ensure all required information is attached to daily store sales reports; notify store managers and district managers of any discrepancies or other issues.
  • Canteen Cards – Issue canteen cards; maintain canteen card control log; reconcile canteen card and/or cash kept at residence weekly; transmit required information to THQ Finance Dept.
  • Gratuity – Receive gratuity list and process for payment; get cash for payment of gratuity; ensure returned gratuity is turned back to accounting in a timely manner and deposited as miscellaneous income; transmit required information to THQ Finance.
  • Bale Inventory – Issue bale tags; maintain bale tag inventory control ledger; match inventory control ledger to the warehouse bale control log as each sheet is completed; follow up on all discrepancies.
  • Truck Seals – Issue truck seals; maintain truck seal issue log.
  • Payroll – Process payroll every other week by prescribed deadline; run the pre-check detail listing report and have administrator for business review and approve before transmitting; run the pre-check register report, reconcile it with the pre-check detail listing report, and have the administrator for business review and approve the report and reconciliation before payroll is distributed.
  • Other Duties – Maintain credit card and store membership card control log if applicable; maintain shipping manifest book control ledger; match to receipts or items to be invoiced (only one book to be issued at a time); process and maintain permanent IOUs; have safe combinations changed when…
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