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We are looking for a detail-oriented Audit Manager to oversee and manage fund-related activities for tax credit investment at a NON PROFIT organization. This long-term contract position is based in Columbus, Ohio, and involves ensuring compliance, accuracy, and financial integrity in partnership audits, cash management, and quarterly accounting processes. The role also includes performing detailed analyses to support investor decisions and benefit projections.
Job Responsibility:
Conduct comprehensive reviews and audits of tax returns for investment partnerships, identifying risks, uncertain positions, and potential audit exposures
Evaluate and manage cash flow needs for investment funds, including preparing capital calls and schedules for treasury management
Verify cash disbursements for fund entities and support equity payment reviews for operating partnerships
Post quarterly journal entries for fund entities and assist in creating detailed quarterly reports, such as fund benefit schedules and cash reserves
Prepare and analyze investor benefit schedules, making recommendations based on credit adjusters' decisions and rate of return evaluations
Run projections to assess the impact of investment changes on investor returns and provide actionable insights
Draft financial statements for fund entities and calculate investor yields on a quarterly basis
Deliver on-demand reporting and analysis related to fund financial data as needed
Collaborate with stakeholders to ensure accurate documentation and compliance with financial standards
Requirements:
Proven experience in Non Profit organizations with a focus on audit management, preferably with a focus on tax credit funds and investment partnerships
Strong expertise in reviewing and auditing tax returns, including identifying risks and uncertain positions
Advanced knowledge of cash management processes, including capital calls and treasury scheduling
Proficiency in quarterly accounting tasks, such as journal entries, benefit schedules, and financial statement preparation
Ability to analyze investor benefit schedules and provide recommendations based on financial projections
Excellent analytical skills with the ability to evaluate rate of return and credit adjuster decisions
Familiarity with on-demand financial reporting and fund-related analysis
Strong organizational and communication skills to effectively collaborate with stakeholders