Journal Voucher and USSGL Posting Analyst | Management Consultant III (MC-III)

Posted 18 Days Ago
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Hiring Remotely in USA
Remote
Expert/Leader
Agency • HR Tech • Information Technology • Professional Services
The Role
Validate and reconcile USSGL postings and journal voucher logic across source systems and OneStream. Identify and document posting defects, reconcile balances, support testing (SIT/UAT/pre-cutover), confirm federal accounting attributes, coordinate remediation with technical and functional teams, maintain audit-ready documentation, and support cutover/hyper-care stabilization.
Summary Generated by Built In

This is a remote position.

Position Description

Journal Voucher and USSGL Posting Analyst  |  Management Consultant III (MC-III)

Program

OneStream Implementation

Location

100% Remote

Workstream

Functional

Skillset Focus Area

JVs / Posting Logic / USSGL

Labor Category (LCAT)

Management Consultant III (MC-III)

Education & Experience

Bachelor's degree and 10 years of experience

Security Clearance

Secret or above


Position Summary

The Journal Voucher and USSGL Posting Analyst supports the OneStream implementation by validating journal voucher logic, USSGL mappings, budgetary and proprietary accounting alignment, and end-to-end transaction accuracy across source systems, remediation outputs, and reporting layers. This role works closely with finance, accounting, data, functional, and technical teams to identify posting defects, reconcile balances, support testing, and help ensure accounting outputs are complete, compliant, and operationally ready before cutover and production deployment.

Our client is a boutique consulting firm that employs consultants and professionals with unique skill sets to support the federal government with strategic execution, financial process enablement, IT systems, and Enterprise Resource Planning (ERP) software implementation.


Key Responsibilities

     Validate that transactions post to the correct USSGL accounts and that budgetary and proprietary entries remain aligned through the full accounting flow.

     Review source data, interfaces, staging outputs, and remediation results to confirm posting logic produces expected accounting outcomes.

     Reconcile journal vouchers, trial balance activity, and key balances across source systems, OneStream, staging layers, and target reports.

     Identify and document issues related to incorrect postings, broken accounting logic, invalid mappings, unbalanced entries, and incomplete transaction flows.

     Analyze discrepancies between budgetary and proprietary accounting, trace root causes, and coordinate corrections with functional and technical teams.

     Confirm remediation activities preserve required federal accounting attributes, including classification elements, tie-points, and transaction-level traceability.

     Support testing of posting logic, journal generation, accounting derivations, and downstream reporting impacts across SIT, UAT, and pre-cutover validation.

     Work with accounting, system, and data teams to resolve defects in journal processing, interface logic, and account mapping.

     Track recurring accounting issues, identify control gaps, and recommend process improvements to reduce manual workarounds and repeat defects.

     Maintain documentation for posting scenarios, reconciliation procedures, exception handling, evidence, and sign-offs to support auditability and operational readiness.

     Assist during cutover and hyper care by triaging accounting issues quickly and helping stabilize journal, posting, and reconciliation processes.


Required Qualifications

     Experience supporting federal financial management, USSGL-based accounting, journal voucher processing, or financial system implementations.

     Strong understanding of budgetary and proprietary accounting, trial balance behavior, reconciliations, and source-to-report traceability.

     Ability to analyze posting logic, account mappings, transaction flows, and interface outputs to identify root causes of accounting discrepancies.

     Familiarity with federal reporting and compliance concepts such as GTAS alignment, TFM compliance, tie-points, and accounting attribute preservation.

     Strong documentation skills for reconciliations, exception logs, issue tracking, validation evidence, and sign-off packages.

     Ability to work in a structured delivery model with formal governance, milestone discipline, and post-go-live stabilization expectations.

     DoD Experience a plus


Client Benefits

     Family Health Care (54% cost covered for the entire family)

     Family Dental (54% cost covered for the entire family)

     Family Vision (54% cost covered for the entire family)

     Flexible Spending Account

     Overutilization bonuses for Time and Materials (T&M) contracts

     Lifetime Event Bonuses (e.g., child, marriage)

     Profit-sharing arrangement for any work brought into the company

     Unlimited Leave with Approval

     401k 100% employer match on first 3% invested

     $1,000 training budget



Skills Required

  • Bachelor's degree
  • 10 years of experience
  • Experience supporting federal financial management, USSGL-based accounting, journal voucher processing, or financial system implementations
  • Strong understanding of budgetary and proprietary accounting, trial balance behavior, reconciliations, and source-to-report traceability
  • Ability to analyze posting logic, account mappings, transaction flows, and interface outputs to identify root causes of accounting discrepancies
  • Familiarity with federal reporting and compliance concepts such as GTAS alignment, TFM compliance, tie-points, and accounting attribute preservation
  • Strong documentation skills for reconciliations, exception logs, issue tracking, validation evidence, and sign-off packages
  • Ability to work in a structured delivery model with formal governance, milestone discipline, and post-go-live stabilization expectations
  • Security clearance Secret or above
  • DoD experience
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The Company

What We Do

BizFirst LLC is a recruitment services provider that partners with businesses of various sizes, offering tailored staffing solutions including traditional recruitment, subscription-based services, and on-demand IT staffing.

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