The
duties of this position include, but may not be limited to:
Handles all financial reporting
and cash management operations of the CRA/LA Non-Housing Bond Expenditure
Plan and Section 108 loan Programs, including other smaller scale special
fund portfolio and reserve fund transactions.
Prepares monthly, quarterly,
annual and as-needed financial reports required by Federal, State, and
local grantors, including preparation of expenditure reports and
grant/claim/loan reimbursements and repayments.
Monitors and tracks financial
data to ensure obligations and expenditures are within approved
commitments and budgets, including reconciliation of appropriation
accounts, cash balance analysis, and reversion worksheets. May assist with
vendor invoice troubleshooting to expedite payment.
Assist section head (Sr
Management Analyst) with compliance of financial reporting requirements,
review of cash balance availability and reconciliation, and
preparation/collection of data metrics.
Interfaces with internal and
external staff on general funded activities, including workforce and
economic development programs funded by general funds, to resolve budget
and expenditures discrepancies, reporting issues, audit findings, or other
fiscal related matters.
Supervise one Accounting
Clerk.
How to apply
*THIS TRANSFER OPPORTUNITY IS FOR CURRENT CITY EMPLOYEES ONLY. Please do not apply if you are not a current City employee and/or don't have Civil Service Status in this position.
Qualified candidates should submit a detailed resume, listing applicable background and work experience, in PDF format to the following Google form: