Senior Staff Accountant

Milwaukee Rep

Milwaukee, WI

JOB DETAILS
SKILLS
Accounting, Accounting Close, Accounting Software, Accounts Payable, Accounts Payable Software, Ad Hoc Financial Modeling, Analysis Skills, Auditing, Balance Sheet, Billing, Budget Management, Card Processing, Certified Public Accountant (CPA), Communication Skills, Continuous Improvement, Contract Management, Credit Cards, Credit Processing, Data Analysis, Detail Oriented, Documentation, Driver's License, Establish Priorities, Finance, Financial Audit, Financial Compliance, Financial Control, Financial Operations, Financial Planning, Financial Reporting, Fund Accounting, General Ledger Accounting, Income Statements, Insurance, Interpersonal Skills, Journal Entries, Maintain Compliance, Microsoft Excel, Nonprofit, Physical Demands, Pivot Tables, Presentation/Verbal Skills, Problem Solving Skills, Process Improvement, Process Sheet, Reconciliation, Record Keeping, Regulatory Compliance, Return on Sales (ROS), Royalties, Royalty Accounting, Sales Tax, Systems Administration/Management, Systems Maintenance, Tax Returns, Team Player, Theater, Time Management, Transaction Processing/Management, Writing Skills
LOCATION
Milwaukee, WI
POSTED
Today

Milwaukee Repertory Theater is seeking a detail-oriented and systems-minded Sr Staff Accountant. The ideal candidate will combine strong attention to detail with strategic thinking, excel at problem-solving and process improvement, and thrive as a versatile team player in a fast-paced arts environment. This role offers significant growth opportunities for an accounting professional passionate about supporting the theater's mission while building efficient systems and communicating effectively across all departments.Desired AttributesYou are known for your exceptional accuracy and commitment to getting the details right every time.Efficiency is your hallmark. You implement processes that balance speed with quality and precision.Time management is your superpower. You prioritize tasks and manage deadlines to keep everything moving forward with clarity and reliability.ResponsibilitiesAccounts Payable and Vendor ManagementProcess invoices, code entries, and maintain vendor records with accuracy.Coordinate with various departments to ensure invoices are processed accurately and posted correctly to the general ledger.Prepare ad hoc payments (checks, wires).Reconcile vendor statements and investigate discrepancies.Ensure complete and accurate reflection of all AP transactions in the accounting system, including proper expense coding, accruals, and liability tracking.Credit Card Program ManagementAdminister the company credit card system, including cardholder setup and policy enforcement.Monitor credit card transactions for policy compliance and appropriate business use.Manage the monthly credit card reconciliation process, ensuring all charges are properly reviewed, approved, and coded.Ensure credit card transactions are accurately recorded in the accounting system with proper documentation and GL coding.Address policy violations and work with cardholders to resolve missing receipts or documentation.1099 Contractor and Contract AdministrationMaintain contractor and agent contracts, understand contract terms and structure payments.Set up vendors in system with correct payment structures.Manage 1099 year-end reporting and reconciliation.Organize and maintain contract filing system.Identify multi‑year contracts for audit purposes.Flag upcoming contract renewals or expirations.Bank and Cash ManagementMonitor bank account daily for fraud alerts and deposits.Perform bank reconciliation (Controller reviews for internal controls).Deposit checks to the bank as needed.Sales TaxFile sales tax returns on schedule.Process sales tax payments.Reconcile sales tax to GL.Insurance and AdministrativeOrganize and track commercial insurance policies and renewals.Collect and maintain current driver's licenses from employees.Provide updated driver's license list to insurance agents.Serve as point of contact for insurance-related questions and changes.Royalty PaymentsCalculate royalty payments based on show activity and contract terms.Process royalty payments through AP.Ensure payments are recorded correctly in GL.Track and reconcile royalty accruals.Month‑End Close and Financial ReportingSupport month‑end, quarter‑end, and year‑end close processes, including preparation and review of journal entries.Perform general ledger account reconciliations and resolve discrepancies in a timely manner.Review monthly balance sheet and income statement for accuracy; support preparation of financial reporting packages.Additional ResponsibilitiesSupport management with ad‑hoc financial analysis and special projects.Collaborate with department heads on budget planning and financial planning.Support grant reporting and compliance requirements.Serve as backup coverage for various team members during planned leaves and absences.Prepare audit schedules and respond to auditor requests during financial and compliance audits.Identify and implement opportunities for process improvements and workflow efficiencies within the finance function.Requirements of the PositionExperience & EducationBachelor's degree in Accounting, Finance, or related field.3–5 years of direct accounting experience, preferably in nonprofit or arts organization.CPA or CPA‑track preferred.Technical SkillsProficiency in any type of accounting software (Milwaukee Rep uses Abila MIP).Experience with AP systems and software is essential (Milwaukee Rep uses Bill.com).Strong understanding of balance sheet reconciliation processes.Familiarity with nonprofit accounting principles and fund accounting preferred.Strong proficiency in Microsoft Excel, including pivot tables and data analysis.Core CompetenciesExceptional attention to detail with ability to maintain accuracy under tight deadlines.Strong analytical and problem‑solving abilities.Systems thinking with drive to improve processes and build efficiency.Self‑motivated with ability to work independently and manage priorities.Excellent interpersonal skills and ability to collaborate across departments.Strong written and verbal communication skills to explain financial information clearly to non‑finance stakeholders.Curiosity and eagerness to learn all aspects of theater financial operations.Flexibility and adaptability to take on diverse responsibilities and provide backup support.Proactive problem‑solver with a continuous improvement and process efficiency mindset.What We OfferCollaborative, creative work environment with passionate colleagues.Competitive salary and comprehensive benefits package.Professional development opportunities.Opportunity to contribute to a thriving arts organization making significant community impact.Physical DemandsThis role includes working at a computer for several hours daily, maintaining prolonged static postures, performing repetitive hand and wrist movements, sustaining visual focus on screens, and enduring extended periods of sitting. The physical demands described here are representative of those that must be met by an employee to successfully perform the essential functions of this job. Reasonable accommodations may be made to enable individuals with disabilities to perform the essential functions.Equal Employment Opportunity StatementMilwaukee Repertory Theater is committed to creating a culturally diverse environment and is proud to be an equal opportunity employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, gender, gender identity or expression, sexual orientation, marital status, national origin, genetics, disability, age, or veteran status. Additionally, any physical demands described are representative of those that must be met by an employee to successfully perform the essential functions of this job. Reasonable accommodations may be made to enable individuals with disabilities to perform the essential functions.#J-18808-Ljbffr

About the Company

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Milwaukee Rep