Description:
This role is responsible for the processing, compliance, and reconciliation functions supporting UIF's annuity and life income programs, operating bank accounts, and endowment administration. The position serves as the primary administrator for charitable gift annuity and life income activity — spanning gift intake, beneficiary payments, tax reporting, and regulatory compliance — while maintaining accurate general ledger records. The role also ensures the integrity of operating cash accounts through daily and monthly bank reconciliations and provides backup support for endowment administration. Working closely with external administrator TIAA-Kaspick and internal Gift Planning staff, this position requires strong technical accounting skills and the ability to manage multiple recurring deadlines across a complex set of financial responsibilities.
Duties And Responsibilities
- Review and approve gift contracts, cash transfers, liquidations, and beneficiary payments; maintain annuity payable balances and adjust reserves as contracts terminate. Post monthly journal entries and reconcile TIAA-Kaspick subsidiary records to the general ledger.
- Prepare annuitant tax packages; review 1099-R and Form 5227 filings and coordinate IRS responses. Support state CGA registrations, reserve filings, and quarterly regulatory reporting.
- Serve as day-to-day liaison between internal Gift Planning staff and TIAA-Kaspick on new gifts, contract amendments, and terminations.
- Reconcile all assigned operating bank accounts on a daily and monthly basis. Investigate and resolve outstanding items, posting errors, and unexplained variances promptly, maintaining clear workpaper documentation in support of internal controls and audit readiness.
- Develop and maintain sufficient familiarity with endowment processes — including distributions, spending allocations, investment activity posting, and fund-level reporting — to provide seamless coverage in the primary administrator's absence.
- Prepare assigned balance sheet and account reconciliations, which may include accrued liabilities, prepaids, or other general ledger accounts. Ensure all are completed accurately, on schedule, and supported by appropriate documentation.
- Contribute to special projects, process improvements, audit support, and other departmental needs as directed by management.
Required Qualifications
- Bachelor’s degree in accounting or related field or sufficient experience
- Excellent organizational skills and demonstrated attention to detail
- Ability to work collaboratively and foster cooperative relationships with colleagues and external stakeholders
- Proficient with accounting systems and Microsoft Office products