Controller
Accounting manager job in Lawrenceville, GA
Accountants One is partnering with a growing construction contractor based in the Northeast Atlanta metro area, seeking an experienced Financial Controller. This role will oversee all aspects of financial management, including corporate accounting, financial reporting, job cost tracking, budgeting, forecasting, and the development and implementation of internal controls and policies.
Key Responsibilities
Oversee all accounting operations, including Accounts Receivable, Accounts Payable, Job Cost Accounting, Inventory Accounting, Payroll Review, and Revenue Recognition
Supervise and mentor a team of two accounting staff members
Lead the preparation of budgets and financial forecasts, and report on variances
Manage the month-end and year-end close processes to ensure accuracy and timeliness
Prepare and distribute monthly financial statements and management reports
Monitor and forecast cash flow to ensure adequate liquidity and financial stability
Maintain high standards of quality control over financial transactions and reporting
Serve as the primary liaison with external tax accountants and auditors
Ensure compliance with all local, state, and federal reporting and tax requirements
Provide financial analysis and insights to support executive decision-making, identify trends, and improve performance
Develop, document, and enhance business processes and accounting policies to strengthen internal controls
Qualifications
Minimum of 5 years of experience as a Financial Controller with demonstrated staff leadership
10+ years of progressive accounting and finance experience
Bachelor's degree in Accounting, Finance, Business, Economics, or a related field required
Strong knowledge of GAAP and a thorough understanding of accounting principles and procedures
CPA or CMA certification is highly preferred
Construction industry experience, including at least 2 years in job cost accounting, preferred
Proficiency with Sage 300 or similar construction accounting software preferred
18246
Finance Manager ($100,000 - $105,000 salary plus 10k bonus)
Accounting manager job in Atlanta, GA
Our client is a leading national food and nutrition services company exclusively dedicated to serving more than 600 hospitals and healthcare systems. Our client has been named one of Modern Healthcare's "Top 100 Best Places to Work in Healthcare" for the past five years, and Training Magazine's Top 125 organizations for the past six consecutive years.
Job Summary
Primary responsibilities of the Finance Manager will include oversight of the preparation of the Monthly Operations Review data, annual budget process, and monthly forecasting for the assigned system. Additionally, the manager will be responsible for monitoring internal control, and performance metric reporting for the system.
Job Responsibilities:
Manages the preparation of monthly analysis of revenue, cost of goods sold, labor and operational expenses against forecast, budget and prior year, providing explanations and business solutions to help mitigate any costs or risks at the units.
Analyze financial performance against key business metrics and document pertinent financial highlights that will enable management to determine progress against budgets.
Serve as a point of contact for client inquiries and reporting, providing clear and concise financial updates as needed.
Identify issues with billing, collections and financial processing within the unit and propose mediation.
Validate dashboard data and ensure accuracy of data in comparison to general ledger.
Support month end closing process and perform variance analysis of key drivers of results.
Perform analytics and establish benchmarks for key drivers of existing business.
Support budgeting and forecasting processes as needed.
Perform ad hoc analysis as needed. Understand and follow company rules and regulations.
Perform all other duties as assigned and required.
Requirements:
Bachelor's Degree in Finance or Accounting required.
MBA or CPA preferred.
Minimum of 3 years of progressive FP&A experience.
Work well with people, aggressively anticipate impacts of workload/issues to team deadlines and have a very positive work attitude including willing to work some longer hours during peak periods.
Advanced Excel skills, ability to work with lookups and pivot tables.
Experience with SAP, Essbase and dashboard development preferred.
Proficiency in Microsoft Access, Word, Outlook and PowerPoint.
Strong organizational, analytical and interpersonal skills.
Strong verbal and written communication skills.
Self-motivated to learn new concepts and participate in new projects.
10-20% travel, as needed
Compensation: $100,000 - $105,000 plus $10,000 bonus
SE: 510760396
Senior Asset Manager
Accounting manager job in Atlanta, GA
The Senior Asset Manager role requires strong leadership, communication, analytical, and strategic planning skills to drive the success and growth of the companies multifamily portfolio. As a Senior Asset Manager, you will play a pivotal role in overseeing the physical, financial, and operational aspects of a diverse portfolio of multifamily communities, encompassing both market rate and affordable housing. Your primary objective will be to maximize the long-term value of these communities.
Responsibilities
Evaluates the physical, financial, and operational aspects of a diverse portfolio of multifamily communities consisting of market rate and affordable communities to maximize long-term value.
Communicates regularly with Property Management, Project Partners, and other stakeholders as needed to drive portfolio performance and advance portfolio goals.
Creates, analyzes and evaluates reports, data, and other information to effectively monitor portfolio goals and performance.
Develops partnerships with multiple stakeholders, departments, and third parties through clear, intelligent, and routine communications. Ensure all reporting packages for limited partners, lenders, and others are prepared and submitted as required and timely.
Prepares action plans, reports, and other deliverables as requested by the Project Partner to address short, mid, and long-term performance.
Partners with interdepartmental teams with the planning and execution of value events including acquisitions, refinancing, repositioning, syndications and sales within the portfolio.
Ensures adherence to proforma and the quality and timeliness of stakeholder deliverables.
Creates business plans for each asset, partnering cross-functionally to ensure ownership goals are understood and met.
Inspects and reviews the physical condition of each asset in your portfolio as scheduled, reporting results to key stakeholders and partnering with Property Management and Ownership to drive improvements (if needed).
Acts as a resource for all members of the organization on specialized areas, including partnership agreements, loan documents, tax returns, restrictive covenants, and other items as necessary.
Develops plans, ideas, and strategies to drive asset performance, including the identification of additional income generating opportunities.
Manages ancillary income functions for region, including easement requests, cable contracts, and other items as needed.
Qualifications
Bachelor's degree in real estate, Accounting, Finance, Economics, or related field. Professional designations (i.e. HCCP, CCIM, CPM, COS, CAM) preferred.
4+ years' experience in Multifamily Asset Management, preferably in Affordable Housing.
Advanced knowledge of Windows, Microsoft Word and Excel and Outlook and Yardi experience is a plus.
Thorough knowledge of affordable housing industry a plus, including Section 42, Section 8, HOME, and other affordable programs.
Advanced verbal and written communication skills and strong organizational and analytical skills.
Advanced mathematical and reasoning skills; and general accounting background preferred.
Ability to comprehend highly complex partnership structures, waterfalls, and distribution possibilities.
Must be able to synthesize and analyze qualitative and quantitative data from multiple sources to draw conclusions.
Yardi experience is a plus.
Personal Skills & Attributes
Must be willing to work onsite
Must be willing to travel 50% of the time
Portfolio & Asset Manager | Affordable Housing & LIHTC
Accounting manager job in Atlanta, GA
Our Client
Active, multidisciplinary, highly reputable multifamily affordable housing, workforce housing and conventional market-rate Developer, Owner & Builder
Very well-respected organization with a strong pipeline and appetite for growth
Established reputation for exceeding expectations for their business partners and their residents
Innovative, high-profile developments and an unwavering commitment to develop high-quality communities
Their affordable/LIHTC developments often feature high-quality design, sustainable materials, and amenities comparable to market-rate properties
Known for successful projects in urban infill and transit-oriented development areas
Their team encompasses diverse backgrounds in urban development, city government, and community outreach and they have created and maintained valuable alliances with local governments, communities, and industry partners, which enhance every project they complete
Earned 20+ Tax Credit awards over a 4-year period
Focused in the Southeastern U.S.
One of their Development team members shared,
“I love working here. I would love to be here forever. If I could stay here forever, I'd be more than happy to. I love the company and the people. It's a fun place to work! Most people come into the office at least four days a week just because they want to - because of our culture and fun work environment and the comradery.”
The Opportunity - Portfolio Manager
Report directly to the Chief Investment Officer
Oversee a LIHTC portfolio of ~50 properties and ~5,000 units (including affordable, workforce and market-rate merchant build)
Ensure Property Management team is hitting occupancy, keeping up with collections and rent increases, and meeting/exceeding financial goals
Ensure Property Management team is executing the asset plans appropriately and accurately
Coordinate the lease-up process (unit acceptance, inspections, startup timing, to conversion)
Identify efficiencies in the portfolio
Regularly review financials for the properties in the portfolio
Represent ownership with Property Management
Conduct annual site visits
Coordinate monthly reporting to partners and lenders
Abundant learning and growth opportunities
Additional responsibilities may include:
Oversee annual asset plans, cash distributions, and conversions
Participate in transactions (LP exits, dispositions, acquisitions)
Oversee quarterly REO schedule
Responsible for monthly financial reporting to ownership
Approve capex expenses that are unbudgeted or over a threshold
Conduct annual site visits
Review annual audits and tax returns
Our Firm - KM Partners
KM Partners' national Executive Search and Professional Recruitment practice areas focus on high-growth, impact-investment-oriented businesses across relevant industries, including Investment Management, Real Estate, Clean Energy, Sustainable Infrastructure, and related Business and Professional Services. With a core focus in Tax Credits (LIHTC, NMTC, Historic, & Renewable), Multifamily, Affordable and Senior Housing, we partner with clients and place industry-specific professionals throughout the United States. We represent C-level Executive Leadership, Middle Management, and experienced Associates across industry professions.
Assistant Director, Grants Accounting and Finance
Accounting manager job in Kennesaw, GA
About Us Are you ready to transform lives through academic excellence, innovative research, strong community partnerships and economic opportunity? Kennesaw State University is one of the 50 largest public institutions in the country. With growing enrollment and global reach, we continue to expand our institutional influence and prominence beyond the state of Georgia. We offer more than 190 undergraduate, graduate, and doctoral degrees to empower our 47,000 students to become thought leaders, lifelong learners, and informed global citizens. Our entrepreneurial spirit, high-impact research, and Division I athletics draw students from throughout the region and from more than 100 countries across the globe. Our university's vibrant culture, career opportunities, rich benefits, and values of respect, integrity, collaboration, inclusivity, and accountability make us an employer of choice. We are part of the University System of Georgia. We are searching for talented people to join Kennesaw State University in our vision. Come Take Flight at KSU!
Location
Our Kennesaw campus is located at 1000 Chastain Road NW, Kennesaw, GA 30144.
Job Summary
Supervises and reviews the work of assigned staff. Manages accounting entries and reporting for Research Foundation financials. Lead point of contact for customer service and operational requests. Manages financial deliverables for awards. Manages monthly billing and payment between Research Foundation and University. Assists in preparation of management reports for review by executive members. Assists in coordinating the annual financial audit. Assists with monthly reconciliations of KSU AR accounts.
Responsibilities
KEY RESPONSIBILITIES:
1. Manages work and performance of assigned staff
2. Reconciles significant accounts
3. Reviews the work and/or reconciliations of assigned staff
4. Supervises the posting of transactions into KSURSF accounting software
5. Responsible for KSURSF accounting processes and entries.
6. Assists Director and Office of Research staff in special projects as assigned or needed
7. Participates and contributes to department decisions to ensure adherence with generally accepted accounting principles
8. Assists and contributes to the annual financial audit processes
9. Maintains financial statement templates in the systems and prepares consolidated financial statements according to established time frame for Controller review
10. Responsible for the accounting processes for the KSURSF and related reporting
11. Manages monthly billing process between entities and awardees
Required Qualifications
Educational Requirements
Bachelor's degree from an accredited institution of higher education in Accountancy, Business or related field.
Required Experience
Five (5) years of accounting, financial or related experience
Preferred Qualifications
Preferred Educational Qualifications
Advanced degree from an accredited institution of higher education in a related field
Preferred Experience
Nonprofit accounting experience
Prior public accounting experience
Proposed Salary
The salary range is $75,300- $91,000. Offers are based on relevant experience. Comprehensive benefits to include Medical, Dental, Vision, 13 paid holidays, vacation, generous retirement plans, tuition waiver, wellness options, and much more! Visit hr.kennesaw.edu/benefits.
Knowledge, Skills, & Abilities
ABILITIES
Able to handle multiple tasks or projects at one time meeting assigned deadlines
KNOWLEDGE
Knowledge and experience with generally accepted accounting principles
Knowledge of higher education accounting processes
Knowledge of governing policies, procedures, rules and regulations
SKILLS
Excellent interpersonal, initiative, teamwork, problem solving, independent judgment, organization, communication (verbal and written), time management, project management and presentation skills
Proficient with computer applications and programs associated with the position (i.e. Microsoft Office suite, Advanced knowledge of excel, Financial Accounting software knowledge)
Strong attention to detail and follow up skills
Strong customer service skills and phone and e-mail etiquette
USG Core Values
The University System of Georgia is comprised of our 26 institutions of higher education and learning as well as the System Office. Our USG Statement of Core Values are Integrity, Excellence, Accountability, and Respect. These values serve as the foundation for all that we do as an organization, and each USG community member is responsible for demonstrating and upholding these standards. More details on the USG Statement of Core Values and Code of Conduct are available in USG Board Policy 8.2.18.1.2 and can be found on-line at **************************************************************************
Additionally, USG supports Freedom of Expression as stated in Board Policy 6.5 Freedom of Expression and Academic Freedom found on-line at ************************************************
Equal Employment Opportunity
Kennesaw State University is an Equal Employment Opportunity Employer. The University is committed to maintaining a fair and respectful environment for living, work and study. To that end, and in accordance with federal and state law, Board of Regents policy, and University policy, the University prohibits harassment of or discrimination against any person because of race, color, sex (including sexual harassment, pregnancy, and medical conditions related to pregnancy), sexual orientation, gender identity, gender expression, ethnicity or national origin, religion, age, genetic information, disability, or veteran or military status by any member of the KSU Community on campus, in connection with a University program or activity, or in a manner that creates a hostile environment for members of the KSU community.
For additional information on this policy, or to file a complaint under the provisions of this policy, students, employees, applicants for employment or admission or other third parties should contact the Office of Institutional Equity at English Building, Suite 225, ****************.
Other Information
This is a supervisory position.
This position has financial responsibilities.
This position will not be required to drive.
This role is considered a position of trust.
This position does not require a purchasing card (P-Card).
This position may travel 1% - 24% of the time
This position does not require security clearance.
Background Check
* Credit Report
* Standard Enhanced
* Education
Per the University System of Georgia background check policy, all final candidates will be required to consent to a criminal background investigation. Final candidates may be asked to disclose criminal record history during the initial screening process and prior to a conditional offer of employment. Applicants for positions of trust with screening
results which confirm a disqualifying criminal history will be immediately disqualified from employment eligibility.
All applicants are required to include professional references as part of their application process. Some positions may require additional job-based screenings such as motor vehicle report, credit check, pre-employment drug screening and/or verification of academic credentials.
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Easy ApplyFinancial Controller
Accounting manager job in Marietta, GA
Are you ready to take the next step in your career and join a company where your talents are valued, your efforts are recognized, and every day brings new opportunities for growth and success? Look no further than Garrett Mechanical! We're currently seeking a full- or part-time Financial Controller to join our dynamic team and play a pivotal role in driving our continued growth and success.
With a competitive salary ranging from $60,000 to $100,000 per year, depending on experience, plus an array of unbeatable benefits, including health coverage, and flexible work schedules, Garrett Mechanical offers more than just a job - we offer a rewarding career with endless possibilities!
GET TO KNOW GARRETT MECHANICAL:
Plumbing, electrical, heating, and air conditioning: at Garrett Mechanical, we do it all! We're proud to be rated as the #1 heating services company in the greater Atlanta area. We rely on our professional, courteous staff to deliver top-notch customer service. We couldn't maintain our 5-star rating without them! Happy employees result in satisfied customers, so we do all we can to keep our crew happy.
We have an open-minded, approachable management style that ensures each team member feels valued and heard. Our employees know that we respect their time, and our family-oriented culture facilitates a good work-life balance. We take our jobs seriously, but we also know how to have fun and enjoy each other's company. With awesome team-building activities (plus a money booth incentive!) we make Garrett Mechanical an enjoyable place to work!
A DAY IN THE LIFE OF OUR FINANCIAL CONTROLLER:
As our Financial Controller, you start your day with a cup of coffee and a quick review of the latest financial reports. As you dive into your tasks, you find yourself orchestrating a seamless budget review meeting, providing strategic insights that will guide the company's financial decisions for the upcoming quarter. Just as you're wrapping up, you receive a call from a department head seeking advice on cost-saving measures for an upcoming project. With your expertise and guidance, they leave the conversation feeling confident and empowered to make informed decisions.
As the day progresses, you find yourself immersed in analyzing financial data, identifying trends, and developing innovative strategies to enhance efficiency and maximize profitability. Whether you're collaborating with cross-functional teams, crunching numbers, or leading process improvement initiatives, one thing is certain - no two days are ever the same at Garrett Mechanical.
TO SUCCEED, YOU WILL NEED:
Minimum Requirements:
Bachelor's degree in accounting, finance, or another related field
5+ years of experience in financial management
Exceptional knowledge of finance, accounting, budgeting, and cost control principles
Strong communication, leadership, and organizational skills
Preferred Qualifications:
Experience in the construction or contracting industry
Proficiency in financial software and ERP systems
CPA or CMA designation
WORK SCHEDULE:
Location: Marietta, GA
Schedule: Flexible (this position can be full-time or part-time
Are you ready to take the next step in your career as our new Financial Controller? Don't wait any longer - apply now and take the first step towards a rewarding career with endless opportunities for growth and advancement.
Our initial application process is quick and easy, taking just 3 minutes to complete on any device. Apply now and discover what awaits you at Garrett Mechanical!
Assistant Controller
Accounting manager job in Atlanta, GA
Job Details Experienced Wesley Woods Senior Living - Atlanta, GA Full Time Bachelor's Degree $46.75 - $59.38 Hourly Negligible Day FinanceDescription
Do you crave a workplace that's full of life, laughter, and purpose? Do you have a heart of gold and a knack for making people smile? If you said YES, then Wesley Woods Senior Living might be your perfect match! We're searching for a superstar Assistant Controller to join our amazing team. This is more than just a job; it's a chance to brighten the lives of our incredible residents. Read more to learn the details about this amazing position!
POSITION SUMMARY
Under the direction of the Controller, the Assistant Controller works closely with the financial services staff of Wesley Woods Senior Living to support the oversight and financial management of the accounting department.
KEY RESPONSIBILITIES
Assist the Controller to prepare and review monthly, quarterly, and annual financial statements, perform financial analyses, and study financial trends to inform strategic decisions.
Assist with developing, monitoring, and evaluating budgets and financial forecasts, setting financial goals and strategies to achieve them
Support the month-end close for General Ledger and coordinate the overall month-end close process.
Perform general accounting function, including recurring manual journal entries, account reconciliations, and account analysis.
Assist with treasury function, including cash projections, borrowing requirement, etc.
Help design, implement, and maintain internal control systems to safeguard company assets and ensure compliance with financial regulations and accounting principles.
Ensure adherence to accounting standards and regulations, assist with internal and external audits, and help prepare documentation and reports for regulatory bodies
Oversee accounts payable and receivable, manage payroll, reconcile accounts, and identify and resolve discrepancies in financial records.
Supervise and train staff accountants and other accounting department personnel.
Identify areas for improvement in financial processes and implement new policies and procedures.
Support the production and issuance of reports as needed by all regulatory agencies and financial institutions including bond certification reports, bank covenant reports, HUD housing reports, and other state regulatory reports.
Other duties and/or special projects as needed.
Qualifications
MINIMUM QUALIFICATIONS
Bachelor's degree in accounting, finance or related field
Certified Public Accountant
Minimum seven years related experience
Previous budget process experience.
Proficient in use of MS Word with high level of proficiency in MS Excel software; excellent PC skills; ten-key by touch., Experience with Business Central preferred.
Proficient in the use of financial software systems
Strong financial analytical skills required.
Excellent interpersonal skills and the ability to work with various levels of management.
Proven ability to mentor and develop staff via delegation and training.
ESSENTIAL FUNCTIONS OF POSITION
Proficiency with accounting software, general ledger management, and financial reporting tools, expertise with Excel essential. Experience with Business Central preferred.
Meticulous attention to detail, vital to ensuring accuracy in financial data and reporting.
Communicate effectively both orally and in writing
Perform duties and responsibilities promptly and consistently with little direct supervision in planning and organizing his/her work.
Direct and manage staff members to accomplish tasks in an efficient and timely manner. Develop, train and delegate to staff to accomplish departmental and organization goals.
Working with the Controller, implement changes in process and procedures to solve problems and address challenges.
The above statements are intended to generally describe the work being performed by people to this job. They are not intended to be an exhaustive list of all responsibilities, duties, and skills, required of the personnel so classified.
Benefits
Wesley Woods Senior Living offers a comprehensive benefit plan to eligible team members to include health, dental vision, retirement benefits, short term disability, long term disability and paid time off.
Conditions of Employment
All offers of employment with Wesley Woods are conditioned based upon completing and passing a background, drug test, and participating in vaccine programs (e.g. Flu, TB testing).
All job applicants applying for Wesley Woods Senior Living will undergo testing for the presence of illegal drugs as a condition of employment. Any applicant with a confirmed positive test will be denied employment. Applicants will be required to submit voluntarily to a specimen test at a laboratory chosen by Wesley Woods, and by signing a consent agreement will release Wesley Woods from liability. If the physician, official or lab personnel has reasonable suspicion to believe that the job-applicant has tampered with the specimen, the applicant will not be considered for employment. Wesley Woods will not discriminate against applicants for employment because of a past history of drug abuse. It is the current abuse of drugs, preventing employees from performing their jobs properly that will not be tolerated. Wesley Woods is a Drug Free Company. Individuals who have failed a pre-employment test may initiate another inquiry with the company after a period of not shorter than; six (6) months; but they must present themselves drug-free as demonstrated by urinalysis or other tests selected by WWSL.
About Wesley Woods
Wesley Woods Senior Living is affiliated with the North Georgia Conference of the United Methodist Church providing housing and services ministries to seniors in the North Georgia area. Wesley Woods Senior Living is rooted in the Judeo Christian values believing that aging has a fulfilling purpose in life and that faith development is lifelong.
Read more about Wesley Woods Senior Living at ********************
EEO / AA Statement
Wesley Woods does not discriminate in employment on the basis of race, color, religion, sex, sexual orientation, national origin, age, disability, or veteran/Reserve/National Guard status.
DIRECTOR OF ACCOUNTING AND FINANCIAL REPORTING
Accounting manager job in Atlanta, GA
The Director of Accounting and Financial Reporting serves as a strategic partner to the Global Controller, playing a critical role in advancing CAREs mission by delivering high-value financial insights and driving excellence in global financial management. This position provides functional leadership to senior finance staff, oversees CARE's shared services center in Manila, and collaborates closely with senior leaders across U.S., regional, and country offices.
Key Responsibilities:
Financial Leadership & Oversight: Supports the Global Controller in ensuring the delivery of timely, accurate, and comprehensive financial information to both internal and external stakeholders. This includes the development and enforcement of financial policies aligned with Generally Accepted Accounting Principles (GAAP) and donor requirements, consolidation of global financial data, and preparation of statutory financial statements and reports.
CARE HQ Accounting and Financial Reporting:
This position is responsible for complex areas such as revenue accounting, investment accounting, as well as accounts receivable, cash application and accounts payable (inclusive of employee travel advances and expense reporting) and fixed assets. This position provides leadership and direction, overseeing complex gift processing exceeding $200 million annually and supports the Fundraising department and associated management reporting. This position also provides supervision and guidance to the Credit Card administrator as the new card program is launched.
This position also oversees the external financial reporting, which includes the preparation of quarterly financial statements in accordance with US generally accepted accounting principles (US GAAP) and serves as a key liaison for the external auditors during the interim and year end audit. Specialized skills and strong accounting knowledge is required.
Coordination with internal and external partners is critical, including collaboration with the Shared Service Center in Manila, grant & programs managers leading USA01 programs, and CARE's external audit firm. The Director of Accounting and Financial Reproting directly supervises managers and four accounting & financial reporting personnel indirectly and provides training and capacity building to the finance, accounting and reporting team to ensure skills are appropriate and that the team can respond to the rapidly changing accounting and compliance environment.
This supports the Global Controller in overseeing the annual Financial Statements Audit conducted by CARE's external auditors.
RESPONSIBILITIES:
Team Leadership Support to Global Controller
* Team Leadership:
Lead and manage a team of professional finance staff by providing consistent supervision, leardership, and support. Foster a high-performance culture through coaching, training, and performance management. Cross-
* Functional Collaboration:
Partner with the Finance Team, Shared Services Center, and key stakeholders across departments to proactively address financial management and compliance issues.
* Team Development:
Build and sustain an effective finance team by investing in professional development and creating a collaborative, inclusive work environment.
* Communication & Coordination:
Ensure seamless communication and coordination between finance units, other CARE USA departments, and external partners to support organizational alignment and operational efficiency.
Oversee HQ Accounting Team
* Supervise, lead, guide and support the accountants and managers in the CARE USA's HQ accounting department. This includes, but is not limited to, developing and updating job descriptions, recruiting (when necessary), annual goal setting and performance management, and coaching and developing.
* This person should pro-actively lead the hiring for direct reports and have a high degree of involvement in the recruiting, on-boarding and coaching for all team members. Support HR/P&C through department reviews of staff to support short & long term strategic initiatives and operational plans.
* Evaluate needs for cross-training of staff to maximize efficiency and minimize control risks and dependencies.
Oversee Revenue Recognition and Budget
* Oversee complex gift processing which includes ensuring completeness, accuracy and valuation of private fundraising, including split interest agreements (perpetual trusts, charitable trusts, gift annuities), planned giving/estate gifts and contributions in kind (CIK). Ensure that processes and procedures are in place to ensure revenue recognition is performed in accordance with US GAAP, including the automation of data feeds from Salesforce and information flow from Fundraising Business Operation colleagues. Work closely with the Revenue manager and Fundraising team to complete the annual budget and automate the bi-weekly revenue report using Power BI. Team and Board of Directors.
* Working with budget holders and financial planning & analysis, oversee the preparation of revenue & expense reports vs. budget for senior management (EMT members and department leads). Support HQ and other domestic holders in annual budgeting process, budget to actual review to ensure proper accounting (revenue, expense, prepaids, capital, etc.).
* Through awareness of strategic initiatives, ensure that accounting for non-recurring activity is appropriate (such as building expansion, software implementations)
* Ensure that financial feasibility studies for new and ongoing initiatives are rigorous and provide complete and relevant information for decision making.
GAAP and Financial Reporting and Financial Statements Audit Oversight
* Responsible for maintaining a high level of integrity of CARE USA's general ledger and subsidiary ledgers. Provides oversight for the monthly balance sheet review, ensuring reconciliations are performed & issues resolved timely. This involves interactions with the CARE USA/USA01 accounting team in Manila as well as program & grant managers based in Atlanta.
* Oversee the accurate, timely and efficient processing of vendor invoices and employee travel advances and expense reimbursements. Ensure proper supporting documentation is included in accordance with policy and vendor discrepancies and disputes are resolved timely. Ensure proper accounting period of expenses submitted to A/P each month, quarter and during year-end financial close by engaging with key budget holders and review of budget vs actual.
* The Director overseen Financial Statements Audit conducted by CARE's external auditors.
* Review the Quarterly User Access Verification and submit all changes timely to the SSC team.
* Work closely with SSC-Manila AP team members to improve quality of AP processing and reduce the number of adjusting and reclassification entries.
* Supervise external financial reporting which includes overseeing the preparation of US GAAP financial statements, federal and state filings, NICRA calculation and preparation/submission to USAID, support & supervise the preparation of other statutory and industry surveys (census bureau, bureau of economics, BBB, Forbes, etc.)
* Oversight for CARE USA, CARE Action Now and CARE Enterprises tax return process and ensure compliance with new tax regulation, including managing external tax providers.
* Serve as technical resource for complex accounting issues (revenue recognition, capitalized software, new lease standard) and thought leader on the application and implementation of new standards at CARE.
* Responsible for planning and supporting the consolidated financial statement audit and Uniform Guidance (US Government) audit. Serve a primary contact for on-site auditors, and ensure that all audit schedules are prepared accurately, timely and consistently and are reviewed before providing to the auditors. Through coordination with IPO and AMS colleagues, anticipate and mitigate areas of possible audit risk. Represent CARE with other external auditors at the federal, state and local level, including USAID.
Assistant Controller / Accounting Manager
Accounting manager job in Gainesville, GA
Job Details Gainesville GA - Gainesville, GA $110000.00 - $125000.00 Salary/year Description
The Assistant Controller / Accounting Manager plays a key role in supporting the financial operations for the organization's multi-site operations. This position oversees day-to-day accounting activities, ensures accurate and timely month-end close, and provides leadership to a collaborative and experienced accounting team. This is a hands-on role that requires strong technical accounting knowledge, attention to detail, and an approachable leadership style. The ideal candidate thrives in a growing environment, enjoys building relationships across departments, and is comfortable balancing both oversight and active involvement in the work.
This position is based in the Gainesville office and is fully on-site. Typical work schedule is approximately 40-45 hours per week. Please note we are only considering local candidates & relocation assistance is not available.
Key Responsibilities
Month-End Close & Reporting
Key participant in the month-end close process for the consolidated operations, ensuring accuracy and timeliness.
Prepare and review journal entries, account reconciliations, and internal financial reporting packages.
Assist in financial analysis, variance explanations, and general reporting improvements.
Accounting Operations Oversight
Oversee general ledger, accounts payable, accounts receivable, and inventory accounting activities.
Maintain and strengthen internal controls, accounting policies, and documentation.
Cost & Inventory Accounting
Support product costing and inventory valuation processes.
Partner with lab manufacturing operations teams to provide cost insights and support margin improvement.
Team Leadership & Development
Lead and mentor the accounting team, fostering a collaborative and supportive work environment.
Provide review, coaching, workload prioritization, and cross-training where needed.
Systems & Process Improvement
Utilize NetSuite ERP for daily, monthly accounting activities and reporting.
Identify opportunities and best practices to streamline workflows and enhance accuracy and efficiency.
Support ongoing system enhancements as the company continues to scale through organic growth and M&A acquisitions.
Audit & Compliance
Assist with audit and tax preparation and support.
Ensure compliance with U.S. GAAP and company accounting policies.
Qualifications
Bachelor's degree in Accounting, Finance, or related field.
6+ years of progressive accounting experience, including experience leading or supervising accounting staff.
Experience working within a manufacturing, production, or product-based environment.
Strong working knowledge of U.S. GAAP and internal controls.
Proficiency in NetSuite or a comparable ERP system.
Ability to balance hands-on work with leadership responsibilities.
Strong communication, problem-solving, and organizational skills.
Advanced Excel and general financial systems skills.
Preferred
CPA designation (preferred, not required).
Cost accounting exposure within a manufacturing environment.
Experience supporting or participating in an audit.
Prior experience in a growth-oriented or multi-site business.
Work Style & Fit
Reliable, consistent, and committed to working on-site in the office to support and develop the team.
Approachable leadership style. Ability to build trust and communicate respectfully.
Comfortable rolling up sleeves while also ensuring accuracy and accountability.
Team-focused mindset with the ability to support both daily operations and ongoing improvements.
Financial Controller
Accounting manager job in Alpharetta, GA
The Financial Controller is responsible for overseeing all aspects of the company's financial operations. This role involves managing financial reporting, budgeting, forecasting, risk management, and ensuring compliance with accounting standards and regulations. The Financial Controller will play a critical role in providing financial insights and supporting strategic decision-making.
Requirements
Essential Duties and Responsibilities:
Financial Reporting: Prepare and analyze financial statements (income statements, balance sheets, cash flow statements) to provide insights into the company's financial performance.
Month end close: Manage corporate G/L including journal entries, amortizations, and reconciliations. Analyze results to Budget/Forecast, distribute intercompany charges, and ensure intercompany balancing between divisions.
Reporting: Produce and distribute daily, weekly, monthly, quarterly and annual financial and operational reports as needed; including, but not limited to, core financial statements, Profit and Loss statements, and cash reports and forecasts. Assist with analysis and interpretation of results.
Budgeting and Forecasting: Develop and manage annual budgets, forecast future financial trends, and monitor performance against financial goals. Create and implement strategies for business growth.
Financial Analysis: Analyze financial data to identify trends, assess risks, and make informed business decisions. Evaluate and improve operational and financial performance
Risk Management: Implement strategies to mitigate financial risks and ensure compliance with regulatory requirements.
Internal Controls: Establish and maintain strong internal controls to safeguard assets, prevent fraud, and ensure accurate financial reporting.
Tax Compliance: Oversee tax planning and compliance, including the preparation and filing of corporate tax returns. Work with accounting team on any additional items.
Cash Flow Management: Monitor cash flow, manage working capital, and ensure adequate liquidity.
Financial Systems: Select, implement, and maintain financial software systems to support efficient operations.
Perform other duties as assigned
Qualifications and Education Requirements:
Bachelor's degree with major in accounting or finance
CPA certification (or actively pursuing it)
Minimum 5 years of experience in accounting or finance
Strong analytical and problem-solving skills
Excellent active listening, negotiation, communication, and presentation skills
Proficiency in accounting software (e.g., QuickBooks, Sage, SAP, Oracle)
Knowledge of financial regulations and accounting standards (GAAP, IFRS)
Experience with financial modeling, planning, budgeting, and forecasting
Knowledge of data analytics and business intelligence tools
Ability to work under pressure and meet deadlines
Demonstrate honesty, integrity, good judgment, leadership, technical aptitude, persistence, flexibility, transparency, proactive approach, and dedicated work ethic
Physical Requirements:
While performing the duties of this job, the employee is regularly required to stand, sit; talk, hear, and use hands and fingers to operate a computer and telephone.
Ability to sit at a computer terminal for an extended period of time.
Occasional lifting and moving of light objects
Work Environment:
Moderate noise (i.e., business office with computers, phone, printers, and light traffic)
Office Setting
Ability to travel locally or overnight if necessary
Benefits:
Paid Time Off Program - Start accruing PTO your first week!
Eight Paid Company Designated Holidays
401(k) w/company match
Health, Dental and Vision Insurance options that start the 1st of the month after 60 days of employment
Short Term Disability Options
Long Term Disability Options
Employee Assistance Program
Life Insurance Options
Employee Discount
Free Alarm Monitoring
Positive work culture with opportunities for advancement and growth
Salary Description Starting between $95,000 and $120,000 per year
Assistant Controller
Accounting manager job in Atlanta, GA
Axion BioSystems, is a rapidly growing, private equity backed life science tools company located in Atlanta, GA. The Company is a leading manufacturer of microelectrode array (MEA) and impedance systems used to evaluate the biology of networked cells (e.g. neurons, cardiac cells, lung and liver) for applications such as cancer research, vaccine development, modeling neurological disease and drug development.
Axion BioSystems, Inc. is seeking an Assitant Controller reporting to the Controller and assisting with managing, coordinating, and improving the company's operational accounting functions. The ideal candidate will have diverse experience in both accounting and working with cross-functional teams. Excellent problem solving skills are critical to the position to resolve challenges as they arise.
Job Duties:
Assist the Controller with planning, directing and coordinating all accounting operational functions
Coordinate month-end closing process
Prepare and review journal entries and account reconciliations
Prepare consolidated financial statements
Provide monthly, quarterly and year-end variance analysis
Supervise accounts receivable, accounts payable and general accounting functions
Reseach accounting issues for compliance with GAAP
Coordinate external audit activities
Provide management with information vital to the decision-making process
Assist in the budget process
Assess current accounting operations, offer recommendations for improvement and implementing new processes
Oversee regulatory reporting, frequently including tax planning and compliance
Hire, train and retain skilled accounting staff
Requirements:
Bachelors degree in Accounting, preferably with a CPA
5-10 years of experience.
Excellent problem solving, verbal and written communication skills.
U.S. Citizenship or permanent residency required
Axion offers competitive pay with bonus opportunity and benefits to include 20 PTO days annually, paid holidays, medical/dental/vision insurance, and 401k plan with company match.
All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity, or national origin.
Assistant Area Controller - Alpharetta, Ga
Accounting manager job in Alpharetta, GA
Developmental role to prepare the individual for a future division finance position. Responsible for coordinating and reviewing operational and financial results for assigned markets within the Area, along with reviewing proposed land acquisitions and providing analyses to Area and Division Leadership.
PRIMARY RESPONSIBILITIES:
\- Develops and prepares financial reports for the Area leadership team to assist in effectively managing the business
\- Functions as a financial resource for Divisions by providing support with feasibilities, forecasts and the month\-end closing process, as needed
\- Reviews land acquisition feasibilities, as submitted by Divisions, and provides feedback on content, strategy and alignment with Division Strategic Plans
\- Assists in the Area's coordination of the annual plan, quarterly forecasts and periodic Flash submissions
\- Cost analysis and management of Area overhead allocations
Requirements Requirements
REQUIRED EDUCATION: (degree, licenses, certifications, etc.)
\- Certified Public Accounting license (active or inactive) strongly preferred
REQUIRED EXPERIENCE: (work related, tools\/equipment, software, etc.)
\- Good verbal and written communication skills
\- Minimum Bachelor's degree in Business Administration, Finance or Accounting (or equivalent in related field)
\- Minimum 3 years public accounting\/ homebuilding experience
\- Good analytical and organizational skills
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Assistant Controller
Accounting manager job in Atlanta, GA
Stratfield is seeking an Assistant Controller to play a critical role in ensuring financial accuracy and compliance with our client. This position is responsible for assisting in the preparation of financial statements in accordance with company policy and U.S. GAAP, producing accurate and timely financial reporting, reviewing and preparing journal entries, managing account reconciliations, and strengthening internal controls. Additionally, this role will oversee sales/use and property tax filing and reporting with an outside service provider and provide support across other finance areas.
This is a direct hire position that will be mostly onsite here in Atlanta. Sponsorship and relocation are not available for this position.
Role Overview:
Leadership & Team Management
· Leads and develops a small accounting team, including oversight of accounts payable.
· Provides mentorship, feedback, and training to support professional growth.
· Partners across departments to enhance financial transparency and operational insight.
Financial Reporting & Compliance
· Prepares and reviews financial statements in accordance with U.S. GAAP and internal policies.
· Reviews and approves journal entries, account reconciliations, and month-end close activities.
· Coordinates with external auditors to ensure timely and accurate audits.
· Maintains and updates accounting policies to align with best practices.
· Supports implementation and optimization of financial planning and reporting tools.
Cash Management & Controls
· Works closely with treasury to reconcile and report cash activities.
· Strengthens internal controls and policies to promote financial accuracy and compliance.
· Investigates and resolves accounting discrepancies and process inefficiencies.
Specialized Accounting Functions
· Oversees lease accounting processes and ensures compliance with ASC 842.
· Manages sales/use and property tax reporting, including coordination with third-party providers.
· Drives improvements in invoice processing, payment accuracy, and vendor management.
Training & Compliance
· Participates in ongoing professional development and compliance programs. Follows all company policies and procedures.
· Performs additional projects and responsibilities as assigned by leadership.
Required Education/Experience:
· Bachelor's degree in Accounting, Finance, or a related field required; Master's degree preferred.
· CPA certification strongly preferred.
· Minimum of seven years of progressive experience in accounting or finance roles.
· Experience in multi-site, manufacturing, or inventory-based environments preferred.
· Knowledge of and experience with sales/use tax and property tax reporting.
· Proven ability to manage and develop high-performing team members.
· Strong process orientation with clear accountability and attention to detail.
· Comprehensive understanding of financial reporting, general ledger structure, and internal controls.
· Ability to clearly communicate financial results and insights to non-finance stakeholders.
· Advanced analytical and problem-solving skills with sound professional judgment.
· Exceptional time management and prioritization abilities.
· Thorough understanding of GAAP and applicable financial regulations.
· Knowledge of lease accounting standards and tax compliance practices.
· Proficiency with ERP systems and modern financial reporting tools.
About Stratfield
We started Stratfield Consulting with the belief that companies are looking for a more reliable consulting firm to deliver an expanding list of projects. We believe that Better People combined with Better Tools will lead to Better Projects. Our objective is to be the most trusted consulting firm for our clients. We are very careful about the people that we invite into the firm.
Controlling and Accounting Manager
Accounting manager job in Buford, GA
Buford, Georgia Salary: 115,000 USD + Bonus
I am partnering with an established automotive manufacturing organisation that is hiring a Controlling and Accounting Manager for its plant in Buford, Georgia. This role suits someone who enjoys being deeply involved in daily operations while also influencing strategic financial outcomes.
About the Role
You will take responsibility for the full controlling and accounting scope within the plant while working closely with cross-functional leaders. The ideal candidate will be comfortable rolling up their sleeves, leading a small team, and delivering accurate financial insights that support operational and commercial goals.
Key Responsibilities
Lead budgeting, forecasting, reporting, and financial analysis
Manage monthly, quarterly, and annual closing in line with IFRS and GAAP
Ensure accuracy across the general ledger, AP, AR, fixed assets, and payroll
Run reporting in SAP and Lucanet with strong variance analysis
Present financial results with clear recommendations
Maintain bi-weekly liquidity forecasts
Execute product costing, cost center accounting, pricing, and internal allocations
Support production controlling and monitor plant cost efficiency
Support investment planning including DCF calculations and capacity studies
Review KPIs including working capital, PPV, and related metrics
Ensure compliance with internal controls and tax regulations
Manage internal and external audits
Identify opportunities to improve transparency and efficiency
Lead and mentor a small accounting team
Partner closely with plant leadership and cross-functional teams
Qualifications
Bachelor or Master degree in Finance, Accounting, Economics, or a related field
Five or more years of controlling or accounting experience in manufacturing
Automotive sector experience is preferred
Strong understanding of IFRS, GAAP, cost accounting, and tax rules
Experience with SAP, Lucanet, and advanced Excel
Ability to communicate complex financial information clearly
Hands-on, detail-driven mindset with strategic capability
Fluent in English
Whats on Offer
Salary of 115,000 USD plus bonus
Full benefits package
Strong career development opportunities
International, collaborative environment
Assistant Controller
Accounting manager job in Atlanta, GA
Please do not respond to direct messages with your personal information. All job applications and your sensitive, personal information should only be submitted via our official job platform.
External Job Title: Assistant Controller
Internal Job Title: Technical Accounting and Compliance Lead (hybrid)
Location: US-GA-Atlanta (Sandy Springs)
FLSA : Non-exempt
#LI-Hybrid
Job Overview :
We are seeking a highly skilled and versatile accounting and finance leader to support the Corporate Controller across technical accounting, reinsurance accounting, accounting policy, internal controls documentation, and tax compliance management. This role requires a strategic thinker who thrives in a dynamic environment and is comfortable wearing multiple hats across the finance function.
Job Responsibilities:
Lead technical accounting research and application, ensuring compliance with US GAAP and regulatory standards.
Provide analytical support to members of the finance organization in conjunction with the preparation of monthly financial reporting package
Support financial close processes and the preparation of financial statements and disclosures related to technical accounting matters
Develop, maintain, and update accounting policies and procedures, ensuring alignment with evolving standards and business needs.
Document and monitor internal controls related to financial reporting, identifying gaps and driving improvements.
Oversee reinsurance accounting processes, including reserving in collaboration with actuarial team, and carrier receivables and payables in collaboration with fronting carrier contacts
Ensure accurate and timely recording of reinsurance transactions, including premiums, claims, ceding commissions and other related items
Execute and ensure proper recording of insurance trust transactions
Manage relationships with external tax compliance providers, coordinating timely and accurate tax filings, and addressing tax accounting issues.
Partner with external auditors during audits, providing necessary documentation and explanations
Assist in new client/program implementations and other process improvement initiatives
Lead accounting requirements assessment for various program accounting and reporting deliverables
Drive continuous process improvements and efficiencies within accounting and finance functions
The above statements are intended only to describe the general nature of the job and should not be construed as an all-inclusive list of position responsibilities.
Job Requirements:
Bachelor's Degree, Accounting, Finance, or related field; CPA or equivalent strongly preferred
Big 4 or national accounting firm experience preferred
4-6 years of progressive accounting experience, preferably in insurance, warranty, or reinsurance sectors.
Strong analytical skills and knowledge of US GAAP, particularly ASC 944 (Insurance) and related technical accounting areas.
Excellent communication, organization, time management and prioritization skills necessary to be effective in a fast-paced work environment
Detail-oriented with the ability to manage multiple priorities and deadlines.
Familiarity with General Ledger systems (e.g. Great Plains, MS Dynamics 365)
Advanced knowledge of Microsoft Excel, familiarity with SQL, and effective at using both to analyze data
Excellent communication, organization, time management and prioritization skills necessary to be effective in a fast-paced work environment
Company Benefits:
Medical, Dental, and Vision Insurance
Flexible Spending Account
Health Savings Account
401(k) Plan with Company Match
Company-paid Short-Term and Long-Term Disability
Company-paid Life Insurance
Paid Holidays and Vacation
Employee Referral Program
Employee Assistance Program
Wellness Programs
Paid Community Service Opportunities
Tuition Reimbursement
Ongoing Training & Personal Development
And More!
About Safe-Guard Products International:
Safe-Guard serves Original Equipment Manufacturers (OEMs), top retailers, and independent agents in the automotive finance and insurance industry with the leading Protection Products Platform. Our platform delivers innovative protection products and solutions that protect consumers from the perils of ownership, while providing Finance &Insurance professionals the tools to ignite scalable and sustainable business growth. Safe-Guard's success is driven by over 850 employees, who serve more than 12,000 dealers and support contract holders across the U.S. and Canada.
For 30 years and counting, our team continues to transform the motor vehicle space, earning a stellar reputation from our partners and peers by providing: 1) the highest quality protection products in the industry, 2) a broad platform of branded product, technology, marketing, and training solutions, and 3) an unwavering commitment to uncomplicated care and customer service.
Safe-Guard Products International is an equal opportunity employer and gives consideration for employment to qualified applicants without regard to age, race, color, religion, creed, sex, sexual orientation, gender identity or expression, national origin, marital status, disability or protected veteran status, or any other status or characteristic protected by federal, state, or local law.
Auto-ApplyAssistant Controller
Accounting manager job in Atlanta, GA
We are seeking an Assistant Controller to partner closely with the Corporate Controller. This position offers broad exposure across technical accounting, reinsurance accounting, accounting policy, internal controls, and tax coordination. Its an excellent opportunity for a CPA coming from a Big 4 or national firm background or someone with strong insurance accounting experience who is ready to step into a dynamic industry role with greater ownership and impact.
Key Responsibilities
Lead technical accounting research and ensure compliance with US GAAP, with a focus on ASC 944 (Insurance).
Provide analytical support for monthly financial reporting and disclosures.
Contribute to the financial close process and preparation of external reporting.
Develop, refine, and maintain accounting policies and procedures.
Collaborate across teams to strengthen internal controls and support tax-related coordination.
What Were Looking For
Bachelors degree in Accounting, Finance, or a related discipline.
Active CPA license (non-negotiable)
Minimum of 4 years of progressive accounting experience.
Strong background in insurance, reinsurance, or warranty accounting.
Hands-on, detail-oriented professional with the ability to thrive in a fast-paced, growing environment.
Ideal Backgrounds
From Big 4 / national firms (Audit or Advisory) with insurance clients.
Experienced professionals from insurance, warranty, or reinsurance companies (Assistant Controllers, Accounting Managers, Senior Accountants with technical accounting focus).
Assistant Controller
Accounting manager job in Peachtree City, GA
Tidal Wave Auto Spa is one of the fastest growing car wash chains in the country and is a recognized leader in the industry with locations nationwide. Our wave of success began in 2004 in the small town of Thomaston, GA, which is where Tidal Wave Headquarters calls home. Tidal Wave Auto Spa is a national brand that is forecasted to grow at a rapid rate for years to come, so we are aggressively pursuing individuals with exceptional talent and leadership qualities. Our goal is to redefine the car wash industry with the latest technology, top-notch friendly service, and unwavering dedication to its employees!
Position Summary:
Tidal Wave Auto Spa is seeking a highly skilled and detail-oriented Assistant Controller to support the finance department in managing the company's accounting operations. The Assistant Controller will oversee day-to-day accounting activities, ensure accurate financial reporting, assist with budgeting and forecasting, and support compliance with internal policies and regulatory requirements. This role is key in maintaining the financial integrity and efficiency of the organization.
Key Responsibilities:
Assist the Controller in managing daily accounting operations, including general ledger, accounts payable, accounts receivable, payroll, and reconciliations.
Prepare and analyze monthly, quarterly, and annual financial statements.
Assist with budgeting, forecasting, and financial planning activities.
Ensure compliance with GAAP, company policies, and relevant federal and state regulations.
Support audits and coordinate responses to internal and external audit requests.
Supervise and mentor accounting staff, providing guidance and oversight.
Identify opportunities for process improvements and implement accounting best practices.
Collaborate with management to provide financial insights and support strategic decision-making.
Qualifications:
Education:
Bachelor's degree in Accounting, Finance, or related field required.
CPA designation preferred but not required.
Experience:
4-6 years of progressive accounting experience, including supervisory or management experience.
Experience in retail, service-based, or automotive industries preferred.
Hands-on experience with accounting software (QuickBooks, Xero, or similar) and MS Excel.
Technical Skills:
Strong knowledge of GAAP, financial reporting, and reconciliations.
Ability to analyze financial data and provide actionable insights.
Proficiency in accounting software and Microsoft Office Suite.
Soft Skills:
Leadership and team management capabilities.
Excellent communication and interpersonal skills.
High attention to detail and organizational skills.
Strong problem-solving and decision-making abilities.
Preferred Certifications:
CPA, CMA, or equivalent accounting certifications.
Certification in accounting software preferred.
Core Competencies:
Financial Acumen: Strong understanding of accounting principles and business finance.
Integrity & Ethics: Maintains confidentiality and adheres to ethical standards.
Leadership & Collaboration: Guides accounting teams effectively while working with cross-functional teams.
Analytical Thinking: Evaluates financial information to support strategic decisions.
Continuous Improvement: Identifies opportunities to enhance accounting processes and efficiency.
Additional Requirements:
Ability to work flexible hours during month-end, quarter-end, or audit periods.
Strong organizational skills and ability to manage multiple tasks simultaneously.
Commitment to Tidal Wave Auto Spa's mission, values, and customer-first culture.
Additional Information
This role may require work outside of normal business hours, including evenings and weekends, based on company needs.
This role may also require occasional driving for company business using a company, rental, or personal vehicle. A valid driver's license and compliance with company driving standards are required.
As a Tidal Wave Auto Spa Team Member, you will enjoy our Benefits Program to help secure your financial future and preserve your health and well-being, including:
PTO is based on the company's PTO policy.
Eligibility for health, dental, and vision coverage subject to 30 day waiting period.
Eligibility for 401(K), subject to plan terms.
Eligibility for benefits such as life insurance, short- and long-term disability, hospital indemnity, critical illness, and accidental, subject to 30 day waiting period.
Company-paid holidays.
**Must enroll in New Hire Benefits within 30 days of the date of hire for coverage to take effect.
The equal employment opportunity policy of Tidal Wave Auto Spa provides for a fair and equal employment opportunity for all associates and job applicants regardless of race, color, religious creed, national origin, ancestry, age, gender, pregnancy, sexual orientation, gender identity, marital status, familial status, disability or genetic information, in compliance with applicable federal, state and local law. Tidal Wave Auto Spa hires and promotes individuals solely on the basis of their qualifications for the job to be filled.
Auto-ApplyFinancial Controller
Accounting manager job in Atlanta, GA
The controller is responsible to oversee the financial company result both on legal entity and consolidated view. This function supports sales, marketing and new product development teams on various project calculations and financial topics. The controller will perform gross margin and product cost analysis, understanding manufacturing costs implication on financial statement and providing financial advice to management. Cooperate and assist financial analyst team with month end closing activities with a strong focus on ensuring correctness of posting vs budget. In completion of these processes this position interacts with European headquarter on processes, timeline, standard reporting and proactively implements new tools and financial concepts as needed.
Conduct analysis of monthly result vs prior month/forecast.
Cost center expenses reporting, analysis and preparation of controlling journal entries.
Ensure consistency, clarity, and accuracy in all reporting. Understand and work with complex financial systems.
Prepare monthly results (sales, margin and profitability) on a consolidated view.
Communicate results with senior management showing risks and opportunities.
Perform product cost analysis from different manufacturing locations.
Assist with preparation of new tools and financial concepts.
Other projects and duties as assign (long term planning, headquarter reporting and analysis).
Qualifications
Bachelor's degree in Accounting, Finance, or Business Administration.
Minimum 5 years successful experience in financial controlling.
Strong analytical skills: ability to interpret complex financial data, develop insights and provide recommendations.
Advanced problem-solving ability: proven ability to identify discrepancies, critical thinking, find solutions, and implement actions to achieve results .
High attention to detail: the Controller oversees financial statements/ budgets and communicate to headquarter/senior management while ensuring accuracy and identifying potential discrepancies/errors.
Adaptability: be able to adapt to implement technology changes, regulations, shifting business needs while maintaining financial integrity (implementing new reporting or adapting to new business situation, implementing new software,…).
Communication: strong communication skills essential for guiding and collaborating with teams and all levels of management.
Collaboration: be a team player working with different department to gather all the necessary information to explain/improve financial situation.
Time management: due to the variety of tasks, proven efficiency in time management to ensure deadlines are met (prioritizing organization of tasks/meetings).
Strong skills in Microsoft Office, particularly Excel and PowerPoint
Experience with SAP a plus
Regional Financial Controller
Accounting manager job in Atlanta, GA
Allied Universal , North America's leading security and facility services company, offers rewarding careers that provide you a sense of purpose. While working in a dynamic, welcoming, and collaborative workplace, you will be part of a team that contributes to a culture that positively impacts the communities and customers we serve.
Job Description
Allied Universal is hiring a Regional Financial Controller. The Controller position is chartered with financial business partnership to the northeast region. In this role, the Controller will serve as a trusted advisor to management teams on items such as monthly operating results and opportunity identification aimed at increasing revenue, improving profitability, and cash flow performance. Key functions include close facilitation, business analysis, budgeting / forecasting, and cash acceleration.
RESPONSIBILITIES:
Monthly financial closings, inclusive of customer / job financial performance analysis
Analyze and report on customer rate increase initiatives
Develop budget and forecasts
Drive management of markup economics (pay and bill rate management)
Partner with Regional President on business performance, strategy, management, and controls
Provide assessment of risks and opportunities to management based on analysis and interpretation of operational and financial statistics and metrics
Provide analytical support to Corporate Pricing group and Sales team related to deal pricing and proformas
Prepare and coordinate periodic operating reviews
Lead and monitor cash flow management, drive improvement in DSOs and past due reduction
Support, drive and leverage best practices to enhance operational efficiency and profitability
Interpret accounting practices and maintain effective internal controls pursuant to Sarbanes Oxley and Allied Universal policies and procedures; perform formal and informal financial audits
Support Regional Presidents, RVPs, and Branch Managers to achieve local and regional financial and human capital scorecard objectives
Direct compliance reports to the Regional Presidents
QUALIFICATIONS:
Bachelor's degree in Finance, Accounting, Economics, or related subject
Minimum of six (6) years of experience in a financial support role with a strong emphasis on reporting and analysis
Direct experience working as a business partner to senior operations management
Results and action focused; demonstrated ability to drive performance and get things done
Demonstrated ability of proactive initiative: i.e., opportunity identification that yielded favorable financial returns, process improvement, etc.
Demonstrated problem solving, confidence and decision-making ability to manage shifting priorities, demands, and timelines using analytical capabilities
Superior interpersonal and communication skills to effectively document and report important information with all levels of the organization
Ability to motivate and develop a team and resolve issues in a timely and professional manner
Strong technical proficiency; expertise in Microsoft Excel with ability to quickly adapt to different financial reporting and ERP platforms
Strong analytical, project management, presentation and follow through skills
Dedication to high quality customer service delivery and integrity through proven client and customer relationships
Ability to work independently with minimal guidance in a fast-paced environment while also working in a team oriented, collaborative environment
Demonstrated ability to take initiative, successfully handle and prioritize multiple competing assignments and effectively manage deadlines
Professional, articulate, and able to use good independent judgement and discretion
PREFERRED QUALIFICATIONS:
Certified Public Accountant (CPA)
Master's degree in Business Administration
Experience in outsourced managed services business or high-volume customer focused organization
BENEFITS:
Medical, dental, vision, basic life, AD&D, retirement plan and disability insurance
Eight paid holidays annually, five sick days, and four personal day
Vacation time offered at an accrual rate of 3.08 hours biweekly. Unused vacation is only paid out where required by law.
#LI-JS
Closing
Allied Universal is an Equal Opportunity Employer. All qualified applicants will receive consideration for employment without regard to race/ethnicity, age, color, religion, sex, sexual orientation, gender identity, national origin, genetic information, disability, protected veteran status or relationship/association with a protected veteran, or any other basis or characteristic protected by law. For more information: ***********
If you have difficulty using the online system and require an alternate method to apply or require an accommodation, please contact our local Human Resources department. To find an office near you, please visit: ***********/offices.
Requisition ID 2025-1482250
Auto-ApplyAssistant Controller
Accounting manager job in Marietta, GA
Job Description
Assistant Controller
Belt Power LLC is a full-service fabricator and distributor specializing in the fulfillment of conveyor system requirements for the manufacturing and material handling industry. We place an emphasis on providing quality, value added components. Our product lines ranges from conveyor belts, equipment, components and belting accessories to rubber, hose, and gasket products.
Job Summary:
The Assistant Controller is responsible for general ledger accounting functions and supporting the Controller in daily accounting activities, financial planning and analysis, and the month end close process. The position will be focused on accounting in newly acquired companies and expanding the capabilities of the corporate accounting team in Marietta. This position will be required to meet tight deadlines and perform a multitude of accounting and financial activities including general ledger preparation and analysis.
Responsibilities:
Obtains and maintains a thorough understanding of the general ledger structure.
Month end close and daily / monthly posting of journal entries.
Determine required accruals.
Provide detailed reconciliations of general ledger accounts.
Support payroll function when needed.
Responsible for fixed asset tracking and inventory analysis.
Review AP and AR transactions for accuracy.
Assist with preparing reporting packages, reports, and other analysis as requested.
Assist with year-end reporting requirements, such as 1099 filings, and state property tax filings.
Assist with ASC 842 Lease Accounting.
Support the monthly financial reporting process, including variance analysis, and management reporting.
Analyze financial data to identify trends, variances, and opportunities for improvement.
Assist with annual audit and tax package preparation.
Other duties as assigned.
Requirements:
Values personal integrity and maintains high ethical standards.
Adapts to change in a fast-paced private equity environment.
BA/BS in Business with an emphasis in accounting.
Knowledge of GAAP, regulatory standards, and compliance requirements.
Ability for occasional travel to support acquisitions.
Six to eight years prior experience in the financial reporting/general ledger area.
Must have strong experience with Microsoft Office products, particularly Excel.
Strong verbal and written communication skills.
Strong interpersonal and customer service skills required.
Ability to multi-task, work under pressure, and meet deadlines, required.
ERP transition experience preferred.
High degree of accuracy, attention to detail, and confidentiality.
Desired Characteristics:
High degree of accuracy, attention to detail, and exactness is extremely important in this position.
Ability to manager stress and high-pressure situations.
Reliability, integrity, accuracy, teamwork, positive attitude, organized, intelligent, proactive, and adaptable.
Strong communication skills, both written and verbal.
Excellent time management and prioritization skills are necessary due to the demands of the position.
Physical Demands:
Must be able to lift up to 15 pounds and will require manual dexterity and strength in arms.
Prolonged periods sitting at a desk and working on a computer.
Position Type and Expected Hours of Work:
This a full-time position in the office. Typical workdays and hours are Monday through Friday, 8am to 5pm. Occasional overnight travel, overtime hours, and weekend work may be required.