Job ID: IN-777124 (93290926)
Onsite/Local AP Accountant with financial reporting, MS Office/Excel, state/federal audit/budget, PeopleSoft Financials experience
Location: Indianapolis IN (Indiana Department of Child Services – DCS
Duration: 6 Months
Position: 1 (2)
Skills:
•	Prior experience in an accounting role.	Required	2	Years
•	Prior experience analyzing and preparing financial reports.	Required	2	Years
•	Prior experience developing and maintaining fiscal policies.	Required	2	Years
•	High School Diploma	Required
•	Proficient with Microsoft Outlook, and Excel	Required	1	Years
•	Efficient and accurate data entry experience.	Required	1	Years
•	Strong oral and written communication skills	Required	1	Years
•	Customer Service experience.	Required	1	Years
•	Prior experience communicating with state and federal audit representatives.	Highly desired	2	Years
•	Prior experience using PeopleSoft Financials.	Highly desired
•	Prior experience working with State, County or Federal Budgets.	Highly desired
•	Associate’s degree or higher in accounting.	Highly desired
Description:
Analyzes financial information and prepares financial reports to determine or maintain record of assets, liabilities, or other financial activities within our organization.
*** OVERVIEW ***
•	The essential functions of this role are as follows:
•	Advises the supervisor of the status of all accounts;
•	Assists management in the preparation of agency or program area budget requests;
•	Develops and recommends implementation of new accounting methods and procedures pertaining to the incumbents area of responsibility;
•	Advises program staff on accounting matters relating to specific program funding;
•	Assists in the development and maintenance of general policies for a fiscal program;
•	Coordinates use of the computerized accounting system for the program area;
•	Certifies the accuracy of financial records and accounts;
•	Analyzes and interprets financial statements and reports;
•	Controls the flow of appropriated funds;
•	Reconciles complex discrepancies between accounts;
•	Interacts with, and responds to, state and federal audit representatives;
•	Makes necessary adjustments to close books;
•	Mail room back up
