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Liliuokalani Trust
Honolulu, HI | Full Time
$72k-95k (estimate)
3 Months Ago
Pacific Guardian Life
Honolulu, HI | Full Time
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Pacific Guardian Life Insurance
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Specialist, Accounting
$72k-95k (estimate)
Full Time | Business Services 3 Months Ago
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Liliuokalani Trust is Hiring a Specialist, Accounting Near Honolulu, HI

Job PurposeResponsible for safeguarding the financial resources of the organization, the Finance team manages the financial activities of Lili’uokalani Trust (“Trust”). Reporting directly to the Manager, Accounting, the Specialist, Accounting audits requests for all payments on behalf of Lili’uokalani Trust while ensuring compliance with government laws and regulations, policies, and performance in accordance with written contracts and agreements. This position requires exceptional attention to detail, strong use of technology, an orientation towards being of service, and a passion for the work of the Trust. The incumbent is the face of the Finance team and the gatekeeper for most questions. They must have a firm grasp of policies and procedures in order to properly and efficiently route questions, requests and process immediate needs. Essential ResponsibilitiesLeadership:Lead by example in managing the expenses of the organization by providing support to various levels of the organization. Exhibit sound knowledge of best practices in accounting and whose accounting expertise translates into optimized expense control processes.Collaborate with internal departments and external vendors to gather, analyze, and interpret relevant financial data.Collaborate with intra and inter department team members, providing and exchanging information regarding existing and/or new business processes and projects, and communicating possible implications for the teamsSet the bar for customer service excellence by providing timely, thorough, and friendly responses to internal and external stakeholder inquiriesRepresent the finance team on cross-functional organizational projects as neededLead projects relevant to the expense disbursement process Take direct instructions from the Chief Financial Officer and other executives Accounting Operations:Audits, verifies, and reconciles invoices processed through the Trust’s automated processing system to ensure accuracy and consistency of data of accounts payable cycle which adheres to Generally Accepted Accounting Principles. Have and maintain an understanding of the organization’s technological resources. Accounts payable utilizes three software programs across two operating systems. Transfers data from the Trust’s approval processing platform on the cloud used by all team members. Extracts and imports data into a third-party program based on the Trust’s servers as an intermediary process in order to upload into the primary accounting system. Manually reconciles results of extraction and imports to balances and verifies the accuracy of all entries. Documents and maintain all work performed and reconciliations calculated in preparation for independent financial audit. Serves as the primary owner and lead of the recurring invoice cycle. Liaise with directors and managers to ensure timely and accurate processing for invoices that recur monthly, quarterly, and annually.Verifies vendor accounts, resolves purchase order, invoice, or payment discrepancies.Processes ACH transactions and provides detailed reconciliation report for approval review, providing proper support for the funds release process.Performs the reconciliation of assigned general ledger accounts, including any follow-up actions/corrections necessary. Addresses and monitors all stale-dated checks and prepares reporting for abandoned property annually.Serves as the primary relief for the Accountant’s duties which include, but are not limited to, auditing of employee expense reports, extracting and downloading of Concur data from a cloud platform, reconciling download prior to import into primary accounting system, processing of real property tax payments, and the management of the property management cycle. Has fully cross-trained to serve as backup Accountant if necessary. Provide Controller with weekly cash needs for each week’s disbursement set which gives Controller timely information to make decisions regarding cash management. Compliance & Reporting:Assists in the development of business and accounting policies to maintain and strengthen internal controls.Assists the team with analytical review of expenses monthly noting and providing insight into significant variances.Assists Director of Finance and Controller with annual audit, tax, and budget supporting work papers and reconciliations as assigned.Produce monthly, quarterly, and annual accounting schedules and reports, including account reconciliations.Develop and document business processes and accounting policies to maintain and strengthen internal controls. Other dutiesObtains working knowledge of and assists management in properly implementing the Trust’s internal controls and accounting policies and procedures.Assists the VP/CFO, Director of Finance and Controller with special assignments as necessary. Provides reports as needed.Monitors offsite archiving of financial records, including annual purge. Complies with all legal requirements and company policies. Gains working knowledge of newly implemented budgeting system (Axiom) necessary to provide rudimentary assistance to external team members or accurately route questions if necessary.Contribute to the Trust’s success by accepting new assignments, helping team members, learning new skills, and striving to improve team and organization results. Performs other related duties as required.QualificationsBachelor’s or associate degree, with major or area of study in accounting or finance OR at least 4 years of relevant work experience at a proven level able to sustain description above.Working knowledge of Excel (novice level or higher). Intermediate knowledge of accounting and reporting software with aptitude for learning new financial technology. Must have interest in technology and various platforms and operating systems used by the Trust and ability to maintain up-to-date knowledge of interaction of all software resources. Strong interpersonal skills that contribute to a collegial working environment.Self-starter who takes initiative, prioritizes with minimal supervision, and works independently, as well as part of a team.Excellent organizational and planning skills with demonstrated ability to create structures to effectively manage personal and team deliverables.Demonstrated ability to speak and write in succinct, informative, and friendly manner such that content expectations and timelines are clearly understood by audienceAbility to thrive in a fast-paced environment and is both quick and meticulous, and puts emphasis on accuracy and quality, and strives for continuous improvement. Ability to adapt well to changes and ambiguity.Ability to manage multiple priorities from a variety of sources; prioritizing effectively to impact areas of greatest need and meet deadlines. Commitment and strong alignment to the mission of the Trust. Commitment to work collaboratively and respectfully toward resolving obstacles and/or conflicts Organization CompetenciesAlignment with Queen’s legacy: Understanding and appreciation of Queen Liliuokalani’s story, her legacy and the Hawaiian Culture is foundational to staff’s commitment to working with our Hawaiian children, families and communities. Demonstrates respect for and appreciation of Hawaiian values history, and culture, understanding its implication in one’s work, in fostering meaningful relationships, and in embracing the community served.Ho`omau i ka `imi Na`auao (Continuous Learning and Improvement): Committed to creating and reinforcing an environment of continuous learning and improvement.Ho`ike i na Mana`o Pono (Effective Communication): Communicates with those we serve and each other in a consistent manner that results in mutual understanding, harmony, and action.No'ono'o loi (Critical Thinking and Problem Solving): Actively and skillfully understands, conceptualizes, applies, analyzes, synthesizes, and/or evaluates information and develops and supports fact-based analyses and recommendations.Ho'o kumu a'e or `Imi hakuhia (Innovation): Identifies and integrates creative ideas into new or existing services and promotes effective problem-solving.Pilina Ho`ohana a me ka Hana Hilina`i (Building Relationships and Creating Trust): Manages relationships to create optimal opportunities and move the organization forward.Alu Like I ka Hana (Teamwork): Works cooperatively and collaboratively with others throughout the organization in alignment with the organization's objectives.Ho`onui I ka `Ike (Capacity Building): Encourages personal growth by exhibiting trust and a belief in the capacity of others. Job Title: Specialist, AccountingReports To: Manager, AccountingFLSA Status: Non-Exempt Aligned Executive: Vice President and Chief Financial OfficerKipuka: Liliʻuonamoku Department: Finance Terms and Conditions of EmploymentAs a condition of employment, teammate will be subject to LT’s policies, procedures and organizational values.

Job Summary

JOB TYPE

Full Time

INDUSTRY

Business Services

SALARY

$72k-95k (estimate)

POST DATE

01/06/2024

EXPIRATION DATE

04/02/2024

WEBSITE

onipaa.org

HEADQUARTERS

LOMITA, CA

SIZE

100 - 200

FOUNDED

1909

CEO

KALANI MANUEL

REVENUE

$10M - $50M

INDUSTRY

Business Services

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About Liliuokalani Trust

Liliuokalani Trust (LT) is a private operating foundation founded in 1909 by Hawaiis last reigning monarch, Queen Liliuokalani. Income to support the mission of the Queen is derived from her lands in Waikk and at Keahuol in Kona, and from a diversified portfolio of marketable securities and private investments. LT provides an array of services to kamalii (beneficiary children) and their families to reach their full potential in life. With Hawaiian cultural values and practices as a foundation, our programs in the arts, sports, ina (land) and creative media boost self-confidence and instill l...eadership and resilience among youth. LT has broadened its mission from a social welfare casework focus to include community change initiatives that affect the systems impacting Hawaiian families. The primary beneficiaries continue to be orphan and other desitute children, but our work also emphasizes the building of thriving Hawaiian communities and families that nurture and support their children. Our vision is to make a deeper system impact by focusing on breaking the cycle of poverty for Native Hawaiian families. Our mission: To provide opportunities for Hawaiian children to realize their greatest potential: Living healthy, joyful, & prosperous lives, contributing positively to their families, communities & the world. More
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