Indigenous Pact PBC, Inc.

Finance

SeniorAccountant

Indigenous Pact
The Brief

“Senior Accountant at Indigenous Pact PBC, Inc.. Skills: Financial accounting systems, Financial reports, Month-end close processes, Account reconciliation, GAAP/policy compliance, Financial statement preparation, Bank reconciliations, Budget analysis. Perform all tasks related to financial accounting systems, reports and processes for corporate operations, contracts and projects.. Responsible for the daily accounting operations in a multi-entity environment.”

What You'll Achieve.

Strengthen and improve the sustainability of Tribes and Tribal Organizations health, wellness, and long-term care programs and services.; Develop customized and turn-key solutions to generate sustainable revenue, increase healthcare access, and improve health outcomes for all Native Americans.; Develop results and innovation-focused culture among a group of diverse and talented individuals.

Industry & Context.

Finance
Problems you'll solve

Analytical skills

Eligibility Requirements

Must be able to provide Indian Preference documentation if claimed., If accommodation is required during any stage of the recruitment process, please contact any member of our HR team.

What They're Looking For.

Must Have

GAAP/policy compliance

What You'll Do.

Perform all tasks related to financial accounting systems

reports and processes for corporate operations

contracts and projects.

Responsible for the daily accounting operations in a multi-entity environment.

Prepare financial reports

month-end close processes

ensure GAAP/policy compliance

and assist with audits.

and implementation of effective Finance strategies

Participate in annual budget process and long-term business planning.

Support the financial department in developing short- and long-term financial goals and forecasts.

Oversight of the financial accounting system to include journal entries

and financial statement preparation.

Prepare and review accurate financial statements

and complex account reconciliations (bank

Development of Excel-based workbooks

or other tools requested for the company related to projects

or internal operations.

Assists with the timely completion of month

and year-end close processes.

Maintain job costs reports for staff time and project intercompany charges.

Perform monthly bank reconciliations.

Maintain the company’s financial records and produce requested financial reports.

How You'll Work.

Team & Collaboration

Establishing and maintaining effective communication and coordination with personnel, departments and management.; Supports a culture that fosters teamwork, inclusion, and collaboration throughout the organization.

Communication Scope

Establishing and maintaining effective communication and coordination with personnel, departments and management.; Analytical, organizational, and communication skills

Process & Methodology

Project accounting, Project intercompany charges

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