Sierra Club Foundation Staff Accountant
Quick Summary
Mission and Goals: The Sierra Club Foundation promotes efforts to educate and empower people to protect and improve the natural and human environment.
The Sierra Club Foundation promotes efforts to educate and empower people to protect and improve the natural and human environment. The Foundation Board of Directors established the following goals to guide the Foundation’s work:
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Solve the climate crisis primarily through a successful transition to a resource-efficient, clean energy economy that better serves people and nature;
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Secure protections for public lands and waters, promote healthy ecosystems and communities, and fight for clean air and water;
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Expand opportunities for more people to explore, enjoy, and protect the planet by supporting programs and policies that reach across economic, cultural, and community lines to get people outdoors; and
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Build a diverse, inclusive environmental movement that reflects and represents today’s American public; and prioritizes important connections between environmental health and social justice.
The Staff Accountant will play a pivotal role in maintaining accurate financial records, processing transactions, and assisting with audits to support the Foundation’s mission. This position is essential for ensuring compliance with financial regulations and providing support to the Finance Department. Applications will be reviewed as they come in, with interviews expected to begin in late May.
1. Cash Management
Prepare and manage bank deposits, ensuring timely deposits and accurate documentation.
2. Accounts Payable
Manage accounts payable functions, including processing invoices and payments in a timely manner.
Reconcile vendor statements and resolve discrepancies.
Prepare and file 1099 forms for independent contractors and vendors as required.
3. Bank Reconciliations
Perform monthly bank reconciliations to ensure accuracy of cash balances and transactions.
Investigate and resolve any reconciling items promptly.
4. Account Analysis
Conduct account analysis to verify the accuracy of transactions and balance sheet accounts.
Prepare journal entries and ensure their proper input into the accounting system.
5. Audit Support
Prepare audit workpapers and documentation as requested by the Director of Finance.
Assist in the coordination of the annual audit process with external auditors.
6. Accounting File Organization
Ensure all financial documentation is stored securely and in accordance with organizational policies.
7. Compliance and Regulations
Support compliance with all federal, state, and local financial regulations.
Location & Eligibility
Listing Details
- Posted
- May 19, 2026
- First seen
- May 20, 2026
- Last seen
- May 24, 2026
Posting Health
- Days active
- 0
- Repost count
- 0
- Trust Level
- 73%
- Scored at
- May 20, 2026
Signal breakdown
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