Humana Community Services

  • 371 Princess Ave, London, ON, Canada
Mar 25, 2023
Any
Humana Community Services 371 Princess Ave, London, ON, Canada
Humana Community Services is currently seeking applicants to join our Finance and Corporate Assets team as a Finance Coordinator. Successful applicants will provide support to the organization by keeping financial records and establishing and maintaining various accounts using computerized bookkeeping systems. They will maintain a positive customer service approach with internal and external stakeholders at all times Responsibilities: Ensure compliance with accounting policies and regulatory requirements Prepare, process, and record all accounts receivable transactions, analyze receivables by performing an aging analysis Liaise with program staff to obtain appropriate service data for invoicing Accurately allocate receipts to the appropriate program/fund, including deferring designated donations Prepare bank entries and deposits, and prepare monthly bank, investment, and donation reconciliations Support the Finance Administrator with the preparation of cheque and...
Mar 25, 2023
Humana Community Services 371 Princess Ave, London, ON, Canada
Humana Community Services is currently seeking applicants to join our Finance team as a  Manager of Finance . The successful candidate will provide oversight to the daily operations of the finance team and the employees and ensure that effective processes are employed across the organization to support appropriate and accepted accounting methods. They will be responsible to prepare regular financial statements, account reconciliations, budget projections, and participate in organizational audits. They will maintain a positive customer service approach with internal and external stakeholders at all times. Responsibilities: Audit, monitor, and analyse information and provide reports on a regular basis to ensure accuracy of accounting practices, financial statements, and the accounting system in general Prepare monthly and quarterly account reconciliations and adjusting entries to ensure accurate reporting and ledger maintenance; consult with relevant team members about...