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.
Lead and manage the reconciliation process of VTF’s main bank account; oversee the reconciliation of the development interface; prepare and review general ledger reconciliations; prepare and review journal entries for various general ledger activity according to GAAP guidelines; manage trust and gift annuity reconciliations along with all associated entries; prepare and review supporting schedules to assist with the preparation of the consolidated financial statement drafts and the cash flow statement; assist with balancing Banner records; provide audit assistance annually; supervision of staff; and completes special projects as assigned.
Bachelor’s Degree in Accounting required. Working knowledge of GAAP and financial reporting practices; advanced spreadsheet and data entry skills; excellent communication and interpersonal skills; ability to handle complex and confidential matters; ability to prioritize and work independently with a high degree of accuracy; strong organizational skills; proficiency with Microsoft Office and Ellucian Banner Finance.
Commensurate with Experience