The Virginia Tech Foundation, Inc. (Foundation) was established in 1948 to receive, manage, and disburse private gifts in support of Virginia Tech programs. The Foundation is a 501(c)(3) nonprofit corporation governed by its board of directors. The Foundation serves the university by generating funding from private sources and aggressively managing its assets to provide funding which supplements state appropriations. The Foundation provides additional operating support to colleges and departments, assists in the funding of major building projects, and provides seed capital for new university initiatives.
Prepare monthly, quarterly, and annual General Ledger reconciliations along with journal entries according to GAAP. Serve as part of the Bank Reconciliation Team and monitor main depository account daily. Prepare key sections of the main bank reconciliation. Prepare documentation for internal and external auditors.
Bachelor’s Degree in Accounting required. Advanced spreadsheet and data entry skills, excellent verbal and written communication skills, experience with Microsoft Office, financial databases, and/or financial reporting. Fundamental knowledge of accounting, reconciliations, and ability to analyze data.
Competitive salary and benefits package will be offered