Mid-size Performing Arts Non-profit

Downtown Los Angeles, CA


The Financial Administrator is a year-round position responsible for daily financial operations and long-term financial planning needed to build and maintain the financial health of the organization. Reporting to the Deputy Director, this is a non-exempt position. 

The organization brings artists and audiences together by thoughtfully curating an array of music, dance, film, and spoken word featuring great artists from around the globe and our very own streets of LA. 


Duties and responsibilities


·       Develops and maintains financial analysis and reporting activities

·       Prepares finance reports and account reconciliation reports according to company policies

·       Maintains all financial records and files

·       Assists in developing and managing budgets

·       Reconciles monthly general ledger balance, invoices and credit card statements

·       Administers all payroll activities, including but not limited to health, worker’s comp and retirement plans

·       Maintains HR records including attendance, vacation and sick leave records and such other duties appropriate to the position when requested

·       Manages all bill payments and invoicing

·       Ensures maintenance of the general and any subsidiary ledgers; prepares and adjusts finance journal entries as required

·       Prepares and arranges tax documents for timely filing

·       Manages account payable and receivable activities

·       Supports the annual financial audit processes through the preparation of standard reports, as well as other custom reports as requested

·       Coordinates with programming department on artist and programming financial matters, including but not limited to payments, petty cash, per diems and merchandise sales and reconciliation

·       Manages fiscal agent services and maintains financial records for each account

·       Identifies and resolves invoicing issues, accounting discrepancies and other financial related issues

·       Maintains internal finance calendar

·       Streamlines processes and procedures for improving operational efficiency of finance reporting and budgeting systems



·       Bachelor’s degree or an equivalent combination of education and/or experience, knowledge, training and skills related to business, finance or economics

·       Excellent organizational and analytical skills; detailed-oriented

·       Must be self-motivated.

·       Well-developed interpersonal skills

·       Ability to communicate effectively verbally and in writing

·       Strong math skills

·       Ability to establish and maintain effective working relationships with employees, board and guests

·       Computer proficiency in Quickbooks, Paychex, spreadsheets and Microsoft Office

·       Ability to work a wide variety of shifts including afternoons, evenings, weekends and holidays and substitute when needed

·       Passion for our mission

The organization offers a competitive benefit package, including health and dental coverage and retirement plan. Salary is commensurate with experience.


Please send resume and cover letter to [email protected]