Vice President Finance
Chief finance officer job in Atlanta, GA
Our company is building the next generation of specialty spine, neck and brain care, making it radically easier for patients, employers, providers, and payors to access high-quality, efficient care. The practice is undergoing an exciting period of growth and innovation. We're looking for a hands-on VP of Finance to own our finance and revenue cycle functions end-to-end and help scale our organization through its next phase of growth.
As our VP of Finance, you'll serve as a strategic business partner to the portfolio company's CEO and leadership team driving financial performance, operational efficiency, and scalable systems that enable both clinical and business excellence. You'll lead a growing team and be responsible for corporate finance, FP&A, accounting, and revenue cycle management across the enterprise.
This is a builder role: you'll architect the financial infrastructure, roll up your sleeves to execute, and iterate quickly based on data and insights.
What you'll own
You'll be responsible for building a world-class finance function that supports the company's mission, growth, and operational discipline.
1. Corporate Finance (80%)
Strategic Planning & FP&A
Lead all financial planning, budgeting, forecasting, and strategic modeling to support growth and new initiatives.
Partner with the CEO and leadership team to translate strategic objectives into actionable financial plans.
Accounting & Controls
Oversee all accounting operations, including monthly and annual close, audit readiness, and financial compliance.
Ensure accuracy, timeliness, and transparency across reporting processes.
Performance Measurement
Design and maintain executive KPI dashboards and internal reporting infrastructure.
Deliver clear financial insights and recommendations that drive decision-making.
Cash Flow & Capital Management
Manage banking relationships, credit facilities, cash flow forecasting, and capital allocation.
Evaluate investment and financing opportunities to optimize the company's capital structure.
Business Partnering
Provide strategic financial guidance on new service lines, M&A opportunities, and technology investments.
Support operational teams with data-driven insights to improve margins, productivity, and ROI.
2. Revenue Cycle Management (20%)
RCM Leadership
Oversee end-to-end revenue cycle operations, including documentation, coding, charge capture, and payer contracting.
Implement performance dashboards to monitor key RCM metrics (AR days, denial rates, collection efficiency).
Payer Relations & Contracting
Strengthen payer relationships to optimize reimbursement and reduce denials.
Negotiate contracts that align incentives and improve cash conversion cycles.
Compliance & Optimization
Partner with clinical leaders to ensure compliant, efficient billing processes.
Leverage AI and automation tools to streamline workflows, reduce manual work, and increase throughput.
What we're looking for
Must-have experience
5+ years in a finance leadership role within a small or high-growth organization; healthcare experience strongly preferred.
Proven track record of leading FP&A, accounting, and revenue cycle functions with full ownership of financial results.
Deep understanding of GAAP accounting, healthcare billing, and RCM operations.
Strong analytical and technical orientation, comfortable using automation, data analytics, and AI-driven tools.
Exceptional communicator able to translate financial data into actionable strategy for executives, clinicians, and investors.
Demonstrated ability to build scalable financial systems and deliver measurable impact.
Proven people leader with experience managing and developing cross-functional finance teams.
Academic excellence GPA 3.7+ from a top-tier university or equivalent achievement.
How you work
Hands-on: You're comfortable digging into models, reconciling accounts, and refining reports, whatever it takes to get to truth and clarity.
Owner mentality: You think in terms of enterprise value and long-term impact, not just monthly results.
Analytical & curious: You love finding insights in numbers and building the systems that make them visible.
Collaborative: You communicate clearly across clinical, operational, and executive teams to keep everyone aligned.
Low ego, high EQ: You balance rigor with empathy, driving results while building trust.
What we're offering
Base Salary: $200,000 - $250,000 per year, depending on experience and fit.
Upside: Participation in the company's stock option program (meaningful equity aligned with value creation).
Comprehensive benefits: Medical, dental, and vision coverage.
Retirement plan: 401(k) or equivalent with employer contribution/match.
Paid time off: Competitive vacation, sick leave, and holidays.
Professional development: Support for courses, certifications, and leadership programs relevant to finance and healthcare.
High-impact environment: Direct visibility from your work to patient outcomes, operational performance, and enterprise value creation across Cade's healthcare portfolio.
Chief Executive Officer
Chief finance officer job in Atlanta, GA
The ideal candidate will manage the overall operations of the company as well as develop and implement strategies that meet the needs of the customers, the stakeholders, and the employees. They will be responsible for making key decisions and executing the culture of the company.
Responsibilities
Take lead across all aspects of the company by reviewing how departments work together
Make key decisions that will affect the facilities direction and profit margin
Build a positive and productive culture in the workplace
Qualifications
Bachelor's degree or equivalent experience
MHA/MBA
Currently working as a behavioral executive, i.e. CEO at a Behavioral Health facility or as a director of a large acute care facility with a large multi-unit psych department.
A working knowledge of behavioral health management practices and clinical operations.
A working knowledge of SUD Substance Abuse Disorder Treatment, behavioral health management practices and clinical operations.
An advanced knowledge of state and federal regulatory and various accreditation requirements related to behavioral health management.
10+ years' experience in behavioral health related field
Strong leadership, decision making and communication skills
Managing Director- Data/AI Advisory (Microsoft)
Chief finance officer job in Atlanta, GA
Paradigm is a strategic consulting firm that turns vision into tangible results. For over 30 years, we've helped Fortune 500 and high-growth organizations accelerate business outcomes across data, cloud, and AI. From strategy through execution, we empower clients to make smarter decisions, move faster, and maximize return on their technology investments.
What sets us apart isn't just what we do, it's how we do it. Driven by a clear mission and values rooted in integrity, excellence, and collaboration, we deliver work that creates lasting impact. At Paradigm, your ideas are heard, your growth is prioritized, and your contributions make a difference.
About the Role
At Paradigm, success is defined by more than what we deliver; it's how we think, act, and collaborate. As a Director / Managing Director on our Data & AI Advisory team, you'll help clients navigate transformation through data, cloud, and AI. Guided by our ethics-first values and outcome-driven approach, this role is ideal for professionals who want to make a measurable impact for clients, colleagues, and themselves.
In this role, you will be a visionary leader driving the growth and innovation of our award-winning Data & AI practice. This pivotal role combines strategic leadership, business development, and deep technical expertise to shape the future of data and AI advisory services in financial services, consumer products, and retail sectors.
What You'll Do
Guided by Paradigm's mission to turn vision into results, you will:
Strategic Leadership & Business Growth
Spearhead the development and execution of Paradigm's Data & AI Advisory service offerings, ensuring they reflect client needs and drive measurable impact
Drive business development efforts, including identifying opportunities, leading proposal development, and closing high-value deals with integrity and client-alignment
Build and maintain C-level client relationships, serving as a trusted advisor on data and AI strategies focused on long-term value and strategic partnership
Develop and execute structured account and domain planning to responsibly expand Paradigm's market presence
Contribute to thought leadership initiatives, representing Paradigm at industry events and in publications with insight and credibility
Client Engagement
Lead large-scale, complex client engagements with accountability, overseeing multiple workstreams and cross-functional teams
Design and oversee enterprise-wide data and AI transformation programs aligned to business goals and built for sustainable value
Direct the development of comprehensive data and AI strategies grounded in client objectives and ethical execution
Guide the creation and operationalization of data strategies, management frameworks, and governance models that promote responsible data use
Oversee the implementation of data literacy and culture programs that empower clients to lead with confidence and clarity
Steer the deployment and rollout of new data management tooling to enhance capability maturity and enable scalable innovation
AI Governance & Regulatory Compliance
Develop cutting-edge AI governance frameworks tailored to client industries, balancing innovation with accountability
Advise boards and executive teams on responsible AI adoption and risk mitigation strategies
Lead the implementation of data and AI compliance programs aligned with financial and global regulations (e.g., BCBS 239, CCAR, GDPR, EU AI Act)
Practice Development & Team Leadership
Play a key role in shaping Paradigm's market positioning in Data & AI, reflecting our commitment to business outcomes and client trust
Foster a collaborative culture rooted in shared excellence by mentoring team members and driving continuous talent development
Collaborate with other practice leaders to create integrated service offerings that deliver holistic client value
Lead recruitment efforts to grow and strengthen the Data & AI Advisory team with purpose-driven, high-impact talent
Who You Are & What You Bring
You thrive where integrity, impact, and collaboration intersect. You believe data and AI should serve real people, and that value is essential. You bring business acumen and industry insight to link strategy with execution; emotional intelligence and communication skills to influence change; and a growth mindset and a drive to contribute beyond the deliverable.
Minimum Requirements
12+ years of data consulting experience, with 8+ years in a senior management or director position in data engineering, cloud architecture, and enterprise solution delivery with a specialty focus on the Microsoft technology stack.
Expertise in SQL Server, ETL/ELT design, and Azure architecture.
Familiarity with Azure DevOps, CI/CD pipelines, and agile methodologies.
Comprehensive knowledge of Microsoft Cloud technologies (Fabric, Azure, Purview Security, Data Protection, Synapse, ADF, AML, OpenAI) and their application in enterprise environments.
Proven track record of leading large-scale data and AI transformation initiatives, balancing multiple projects while driving growth
Deep expertise in data management frameworks (e.g., DAMA DMBOK, DCAM, CDMC) and AI governance best practices
Extensive experience in business development, including structured account planning and pipeline management
Extensive experience in process documentation, target-state design, target operating model design, policy formulation, and roadmap development for both data management and AI governance
Demonstrated success leading complex Azure-based transformations.
Proven leadership experience managing large-scale technical engagements.
Strong executive communication and stakeholder management skills.
Proven track record in conducting maturity and risk assessments for both data capabilities and AI readiness
Visionary leadership with the ability to develop and inspire high-performing cross-functional teams
Deep understanding of the end-to-end data ecosystem and its application in financial services
Exceptional communication skills including clear articulation, tailored messaging, insightful questioning, and persuasive presentation; adept at engaging with C-suite executives
High emotional intelligence; self-aware, empathic, strong social skills, and adaptable
Deep business acumen and ability to identify and capitalize on market opportunity, industry trend awareness, organizational structures, financial principles, and strategic planning
Strong understanding of financial services and global regulations affecting data and AI (e.g., BCBS 239, CCAR, GDPR, EU AI Act)
Advanced degree in a relevant field (e.g., Computer Science, Data Science, Business Administration)
Preferred Qualifications
Experience building and running a data advisory consulting business
Strong track record of thought leadership in data and AI
Own end-to-end delivery of Azure Data & AI initiatives, ensuring alignment with business objectives, timelines, and budgets.
Define vision, roadmap, and success metrics for cloud transformation in collaboration with senior stakeholders.
Establish governance frameworks, risk management strategies, and executive reporting for transparency and accountability.
Architect and oversee deployment of Azure Synapse Analytics, Azure Data Lake, Azure Data Factory, Azure Machine Learning, and Azure OpenAI Service.
Champion integration of Power BI and Microsoft Fabric for advanced analytics and visualization.
Drive modernization strategies for data platforms and AI-driven insights within Azure environments.
Provide technical oversight for SQL Server and Azure SQL Database optimization, schema design, and performance tuning.
Ensure robust ETL/ELT processes using SSIS and Azure Data Factory for enterprise-scale data pipelines.
Ability to advise on data governance, security, and compliance frameworks within Azure environments.
Conduct Azure-focused strategy workshops, cloud readiness assessments, and AI adoption roadmaps.
VP, Financial Consultant- Atlanta, GA (Buckhead) (Hiring Immediately)
Chief finance officer job in Atlanta, GA
Regular
Your opportunity
At Schwab, youre empowered to make an impact on your career. Here, innovative thought meets creative problem solving, helping us challenge the status quo and transform the finance industry together.
Schwabs branch team is at the heart of our firms commitment tohelping clients own their financial futures. In this exciting role, youllgive clients financial guidance while forming lasting relationshipsbuilt on trust, respect, and reaching a common goal. Youll alsohavethe ability totake charge of your own professional journey with oursupportive, nurturing culture and diverse set of career opportunities.
As a Financial Consultant at Schwab, you will be procured with the practice of existing Schwab clients, providing them with wealth management and financial planning advice. Over time, youll grow your practice holistically through client asset consolidation, networking, and earning client referrals. If you currently have your securities license, enjoy working in a teamsetting, and share our passion for serving clients - this role is for you.
What you have
Required Qualifications:
A valid and active FINRA Series 7 license required
Obtaining or acquiring FINRA Series 66 (63/65) license and Life & Health Insurance as it will be required during your tenure on the job.
Preferred Qualifications:
Ability to build strong relationships, engage and encourage trust, and deepen the client relationship by applying a focused client communication strategy, and exceeding client expectations.
Strong candidates will also learn to leverage our team of Schwab specialists, Schwab advice guidelines, your knowledge of the markets, and your ability to inspire action to help your clients progress toward achieving their goals.
Openness to manage wealth on behalf of our clients including: Retirement Planning, Education Planning, Investment Management, Banking & Lending Management, Insurance & Risk Management, and Estate Planning
Ability to adapt and implement change as the market and business conditions evolve
Passion for community engagement to share and engage clients in discussion about market conditions, sound investing principles, and the ideal wealth and long-term investment strategies for their personal situation
Desire to provide an outstanding investor experience in additional to furthering your own professional development in Wealth Management.
Whats in it for you:
At Schwab, were committed to empowering our employees personal and professional success. Our flexible work options, supportive culture, and focus on your development means youll get the tools you need to make a positive difference in the finance industry.
We offer a competitive benefits package that takes care of the whole you both today and in the future:
Base salary
401(k) with company match and Employee stock purchase plan
Paid time for vacation, volunteering, and a 4-week sabbati
Director/Vice President Finance
Chief finance officer job in Cartersville, GA
About the Company:
Our client is a leading restoration contractor serving North Georgia and Southeast Tennessee. Established in 1994, the company is backed by a team with more than 175 years of combined experience in construction and restoration. They partner with all major insurance carriers and adjusters to ensure fair claim settlements and deliver expert services through licensed general contractors, IICRC-certified specialists, and insurance adjusters. With a climate-controlled warehouse and state-of-the-art cleaning facilities, our client restores customers' property to the highest standards, from pack-out to move-in. Dedicated to 24/7/365 emergency response for fire, water, and storm damage, our client sets the industry standard for excellence, professionalism, and customer care.
Position Overview:
The Vice President of Finance will serve as a key executive leadership team member, responsible for leading all financial operations, including budgeting, forecasting, financial planning, reporting, and strategic analysis. The ideal candidate will bring strong financial acumen, operational insight, and leadership capabilities to help drive performance, support decision-making, and ensure the company's long-term economic health.
Experience in restoration or construction is highly valued, as it provides insight into job costing, margin management, and navigating insurance-related revenue cycles.
Key Responsibilities:
Oversee all aspects of financial management, including accounting, budgeting, cash flow, and reporting.
Develop and lead financial planning processes that support strategic decision-making and business goals.
Drive operational efficiency by analyzing key financial metrics, job costing, and project profit margins.
Provide timely and accurate financial reports to the Management Team and the Board, including job profitability, liquidity monitoring (13 Week Cashflows), monthly/quarterly financials, variance analysis, and KPIs, etc.
Establish and maintain strong internal controls, accounting policies, and compliance procedures.
Lead forecasting and modeling initiatives to evaluate business performance and growth opportunities.
Partner with department leaders to support budgeting, resource allocation, and investment planning.
Manage external relationships with banks, auditors, suppliers, vendors, tax advisors, and insurance partners.
Contribute to M&A due diligence and integration, as applicable.
Qualifications:
Bachelor's degree in Accounting, Finance, or a related field; CPA preferred.
10+ years of progressive finance and accounting experience, with at least 3 years in leadership.
Experience in construction, restoration, or a project-based industry strongly preferred.
Deep understanding of job costing, WIP accounting, margin analysis, and cash flow management.
Proficiency in financial systems (e.g., QuickBooks, Sage, Foundation, or similar platforms).
Strong leadership and communication skills, with the ability to collaborate cross-functionally. Must regularly maintain a cooperative style that encourages a teaming environment.
Strategic thinker with hands-on execution skills and a roll-up-your-sleeves attitude.
Self-starter with initiative to identify and implement improvements.
What We Offer:
Executive-level role in a growing, mission-driven organization.
Competitive compensation, bonus structure, and potential equity participation.
An entrepreneurial environment with autonomy and opportunity to shape financial strategy.
A collaborative culture built on trust, transparency, and excellence.
Director of Financial Reporting
Chief finance officer job in Atlanta, GA
Accountants One is working on an exclusive search for a Director of Financial Reporting for a growing real estate client. This person will work closely with the key leadership in the company, and it's a very visible position. The Director of Financial Reporting will be involved with the SEC filings and key accounting reports that will help leadership make business decisions. This is an in-office role due to the nature of the work and deadlines.
The Director of Financial Reporting will handle the following:
Prepare and coordinate SEC filings (10-K, 10-Q, 8-K, Proxy) and investor reporting packages.
Compile and analyze monthly internal reports, budgets, and forecasts.
Partner with operations to provide variance analyses and leasing impact assessments.
Support audit coordination, technical accounting research, and implementation of new standards.
Collaborate with leadership to enhance reporting processes and leverage system capabilities.
Assist with corporate accounting activities, including monthly close and the accounting for and administration of the Company's annual and long-term incentive compensation plans.
Supervise a team
Special projects
Requirements
A bachelor's degree in accounting or finance is required.
A minimum of 4+ years of accounting experience required in the Big 4 or second Tier firm, or a blend of Big 4 and industry experience
CPA license required.
GAAP
Advanced knowledge of Microsoft Excel
Experience with ERP System
18273
Vice President Asset Management
Chief finance officer job in Atlanta, GA
About the Company:
Wrightwell is a growing real estate investment company focused on acquiring and managing high-quality Build-to-Rent (BTR) communities across the U.S. Our team is committed to delivering exceptional value to residents and investors through strategic acquisitions, disciplined operations, and proactive asset management.
Position Summary:
The Vice President of Asset Management will play a critical role in the acquisition and ongoing management of Build-to-Rent communities nationwide. This leader will oversee third-party property management teams, drive operational performance across all assets, and support the senior leadership team with strategic decisions, including sales of individual communities. The ideal candidate is a results-oriented real estate professional with a strong background in multifamily asset management, financial analysis, and operational oversight. This role is based in Atlanta, GA and requires a minimum of 3 days per week in office.
Key Responsibilities:
Acquisitions Support
Assist in the identification, evaluation, and execution of Build-to-Rent acquisitions across the U.S.
Conduct financial and operational due diligence on potential acquisitions.
Collaborate with acquisitions, finance, and development teams to assess projected performance, budgets, and investment returns.
Asset Management Oversight
Lead the ongoing asset management of BTR communities, ensuring each property meets or exceeds performance targets.
Oversee third-party property managers, providing guidance on operational execution, leasing strategies, and resident experience.
Monitor and manage each community's revenue, expenses, and occupancy relative to approved budgets.
Implement strategies to optimize financial and operational performance, including cost control, revenue enhancement, and resident retention initiatives.
Reporting & Analytics
Prepare regular performance reports for senior leadership and investors, highlighting key metrics and opportunities for improvement.
Analyze market trends, competitor performance, and operational benchmarks to inform asset-level strategies.
Strategic Support
Partner with the senior team on decisions regarding property dispositions, refinancing, or recapitalization.
Support long-term portfolio planning and strategic initiatives.
Team Leadership & Collaboration
Provide mentorship and guidance to asset management and support staff.
Foster strong collaboration across acquisitions, development, finance, and operations teams.
Qualifications:
Bachelor's degree in Real Estate, Finance, Business, or related field (Master's preferred).
Minimum of 8-10 years of experience in real estate asset management, with a focus on multifamily or Build-to-Rent communities.
Proven experience managing third-party property managers and multi-state portfolios.
Strong financial acumen, including budgeting, forecasting, and investment analysis.
Excellent leadership, communication, and problem-solving skills.
Ability to travel nationally to visit communities as needed.
Preferred Skills:
Experience with large-scale Build-to-Rent acquisitions and operations.
Knowledge of real estate markets across multiple U.S. regions.
Familiarity with property management software and reporting platforms.
What we Offer:
Competitive salary and performance-based incentives
Benefits package including health, dental, vision, and retirement plans
Opportunity to shape the growth of a national Build-to-Rent platform
Vice President of Asset Management
Chief finance officer job in Atlanta, GA
Vice President, Asset Management National Real Estate Investment Platform
Our client, a leading national real estate investment firm with a reputation for institutional quality and long-term value creation, is seeking a Vice President of Asset Management to oversee a growing portfolio of multifamily assets, including manufactured housing communities and Build-to-Rent (BTR) developments. This is a high-impact leadership role for an accomplished professional who combines operational expertise with a strong investment mindset.
Position Overview
The Vice President will be responsible for driving performance across a diverse portfolio, ensuring assets meet or exceed underwriting expectations. This individual will lead the execution of business plans, optimize operations, and collaborate closely with internal and external stakeholders to deliver superior results. The role requires a strategic thinker with hands-on experience in multifamily and a proven ability to influence outcomes in a dynamic, growth-oriented environment.
Key Responsibilities
Develop and execute asset-level strategies to maximize NOI and achieve targeted returns.
Oversee financial performance, including budgeting, forecasting, and variance analysis.
Partner with property management teams to implement operational best practices and enhance resident experience.
Manage capital improvement programs, renovations, and repositioning initiatives.
Monitor market trends and competitive dynamics to inform strategic decisions.
Collaborate with acquisitions, development, and investment teams on portfolio initiatives.
Build and mentor a high-performing asset management team.
Candidate Profile
Minimum 6+ years of progressive experience in real estate asset management, with a strong focus on multifamily; exposure to manufactured housing or BTR is highly desirable.
Demonstrated success managing large, complex portfolios and delivering measurable value creation.
Strong analytical and financial modeling skills; ability to translate data into actionable strategies.
Exceptional leadership and communication skills; proven ability to influence cross-functional teams.
Bachelor's degree in Finance, Real Estate, or related field; MBA or advanced degree preferred.
Why This Opportunity?
This is an opportunity to join a nationally recognized platform with institutional backing and a commitment to innovation. The firm offers a collaborative culture, significant growth potential, and the ability to make a meaningful impact on a portfolio that spans some of the most attractive markets in the country.
Assistant Director, Grants Accounting and Finance
Chief finance officer 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
Chief finance officer job in Marietta, GA
Job Description
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!
Job Posted by ApplicantPro
DIRECTOR OF ACCOUNTING AND FINANCIAL REPORTING
Chief finance officer 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.
Director, Finance & Accounting
Chief finance officer job in Columbus, GA
Description & Requirements Maximus is currently seeking a Director, Finance & Accounting. In this role, you will be responsible for performing and providing financial oversight to the business. . Essential Duties and Responsibilities:
- Prepare financial budgeting, forecasting and reporting on a monthly, quarterly, and annual basis, while performing variance analysis between forecast and actual.
- Ensure effectiveness of accuracy and timeliness of forecasting, reporting, accruals, and other financial related processes and systems on a weekly and monthly basis.
- Provide direct financial leadership and support for assessing service allocation rates, composition of cost pools for new allocations.
- Work with group and project finance teams to develop, administer, and implement process improvements and methodologies and cost allocation expectations.
Job-Specific Essential Duties and Responsibilities:
- Lead a team of financial professionals to develop and implement a financial strategy that is effective, consistent and aligns with the organization's overall financial strategy.
- Responsible for oversight and maintenance of project financial records and forecasts.
- Provide strategic pricing leadership to support a new business area.
- Participate in all internal and external audits.
- Oversee the monthly and quarterly financial close process for assigned businesses.
- Coordinates with Project Management to develop operational productivity analysis and tracking of metrics to identify where cost efficiencies can be achieved.
- Reviews contract modifications, maintain financial contract files and prepares reports, documentation and presentations as appropriate.
- Ensure client invoices are compliant with MAXIMUS policy and client requirement to ensure projects are billed accurately and timely.
- Manages Direct Sales Outstanding by expediting collections and keeping unbilled as low as possible.
- Ensure compliance with applicable policies and procedures as well as US GAAP, FAR, CAS and statutory regulations, acting as a champion of the company policy and procedures.
- Provide monthly, quarterly and annual forecasting for financial and business planning with Project Management and Division finance and works closely to track performance and provides timely variance and Risk and Opportunity analysis.
- Prepares routine and ad-hoc financial reports and analysis using MAXIMUS proprietary tools, Enterprise solutions, CostPoint, Cognos Reporting, and Excel
- Lead cooperative effort among members of a team.
- Provides ongoing supervision too assigned staff.
- Responsible for identifying and resolving issues, problems and concerns.
- Receives assignments in the form of objectives and determines how to use resources to meet schedules and recommends changes to policies and establishes procedures.
- Interacts with different levels of external and internal customers.
- Ensures the confidentiality and security of all corporate information.
- Other duties as assigned.
Minimum Requirements
- Bachelor's degree in related field required.
- 10-12 years of relevant professional experience required.
Job-Specific Minimum Requirements:
- Bachelor's degree in accounting or finance from an accredited college or university or equivalent experience in lieu of degree. Master's Degree preferred.
- Due to customer requirements, United States Citizenship is required.
- The ability to obtain or maintain a government issued security clearance is required.
-10+ years of relevant professional experience required.
- At least 5 years of experience in project accounting, financial control/management or similar discipline.
- 2-3 years management experience required.
- Must have DoD financial experience.
- Must have strategic pricing experience.
- Ability to coach, develop and mentor team members.
- Proficient in Microsoft Office (strong Word and Excel skills).
- Excellent organizational, interpersonal, verbal, and written communication skills, ability to perform quantitative and qualitative analyses of existing business processes.
- Ability to perform comfortably in a fast-paced, deadline-oriented work environment.
- Ability to work under standards-based performance measures.
- Ability to successfully execute many complex tasks simultaneously.
- Ability to work as a team member, as well as independently.
- Ability to be a self-starter.
#techjobs
#LI-PN1 #max ITFin
#veterans Page
EEO Statement
Maximus is an equal opportunity employer. We evaluate qualified applicants without regard to race, color, religion, sex, age, national origin, disability, veteran status, genetic information and other legally protected characteristics.
Pay Transparency
Maximus compensation is based on various factors including but not limited to job location, a candidate's education, training, experience, expected quality and quantity of work, required travel (if any), external market and internal value analysis including seniority and merit systems, as well as internal pay alignment. Annual salary is just one component of Maximus's total compensation package. Other rewards may include short- and long-term incentives as well as program-specific awards. Additionally, Maximus provides a variety of benefits to employees, including health insurance coverage, life and disability insurance, a retirement savings plan, paid holidays and paid time off. Compensation ranges may differ based on contract value but will be commensurate with job duties and relevant work experience. An applicant's salary history will not be used in determining compensation. Maximus will comply with regulatory minimum wage rates and exempt salary thresholds in all instances.
Accommodations
Maximus provides reasonable accommodations to individuals requiring assistance during any phase of the employment process due to a disability, medical condition, or physical or mental impairment. If you require assistance at any stage of the employment process-including accessing job postings, completing assessments, or participating in interviews,-please contact People Operations at **************************.
Minimum Salary
$
145,000.00
Maximum Salary
$
160,000.00
Easy ApplyDirector of Finance and Accounting
Chief finance officer job in Atlanta, GA
Do You See Yourself as a Director of Finance and Accounting?
Begin Your Next Chapter at InterContinental Buckhead Atlanta - A Beacon of Luxury Where Southern Sophistication Meets International Allure
At IHG, we're passionate about you! Whether your interests lie in sports, travel, music, or mastering your craft, we believe that the same passion you bring to your personal life should fuel your professional one. We're looking for people who put guests at the center of everything they do-people who are curious, confident, and committed. If that sounds like you, consider joining the team at InterContinental Buckhead Atlanta.
About InterContinental Buckhead Atlanta
InterContinental Buckhead Atlanta hotel is where Southern sophistication meets international allure. Elevate your stay in a stylish guest room or suite, enjoy exclusive amenities in the Club Lounge, and savor flavorful dishes at The Americano, Atlanta's first Italian steakhouse. From indulgent spa services and state-of-the-art pool and fitness to exquisite events in two grand ballrooms or 22 modern meeting rooms, you'll experience reimagined luxury in Atlanta's prestigious Buckhead neighborhood. We are beyond honored to announce that InterContinental Buckhead Atlanta has been ranked the #1 Top Hotel in Atlanta by the readers of Travel + Leisure.
Your Role: Director of Finance and Accounting
A little taste of your day-to-day:
Bottom line? We're looking for a new Director of Finance and Accounting comfortable with balancing the books when it comes to managing the needs of owners, auditors and regulatory agencies while also monitoring and improving hotel profitability. In return, we'll put our financial operations and the security of our hotel assets in your expert hands.
Every day is different, but you'll mostly be:● Managing and coaching your team to ensure the right person is always on the right task● Setting exceptional accounting practice standards and ensuring financial control procedures remain ethical and legal● Maximizing financial returns through financial analysis, data trends and market information - while budgeting accordingly● Enhancing the guest experience through improved payment options, inventory controls and financial dispute resolution● Supervising a number of clerical accounting employees across a range of functions - from Accounts Payable to Purchasing and Payroll.
What We need from you: ● Bachelor's degree / higher education qualification / equivalent in Accounting and Finance ● 4-8 years' experience in hotel accounting or auditing with at least one year in an Assistant Controller or similar supervisory role, or an equivalent combination of education and work-related experience ● Knowledge of accounting management duties e.g., negotiating hotel space and tenant leases, processing payroll, performing asset management duties, providing business projections, displacement analysis, preparing government reports, filing tax returns etc ● Professional accounting or finance designation or certification preferred ● Must speak local language(s)● Other languages beneficial
What We Offer
At InterContinental Buckhead Atlanta, we recognize that our leaders are the heartbeat of our hotel. That's why we offer a robust benefits and compensation package tailored to high-impact professionals:
Medical, dental, vision, life, and disability insurance
Matching 401(k) retirement plan
Generous paid vacation, holidays, and wellness days
Complimentary dry cleaning and staff meals
Global hotel discounts with IHG Employee Room Benefit Program
A dynamic and respected Executive Committee team environment
Most importantly - Room to Lead with Purpose and Grow with Passion
The salary range for this role is $130k to $150k. This job is also eligible for bonus pay.
Our Promise of True Hospitality
At IHG, we're guided by our promise of True Hospitality for Good-for our guests, our colleagues, our communities, and the planet. You'll thrive here if you:
Show We Care - You listen, respond, and act with genuine empathy.
Aim Higher - You challenge the status quo and embrace strategic risk.
Celebrate Difference - You value diverse perspectives and inclusive leadership.
Do the Right Thing - You lead with integrity and humility.
Work Better Together - You collaborate across departments, cultures, and disciplines.
Ready to Shape the Future of Finance Leadership?
If you're a thoughtful strategist, passionate collaborator, and inspiring leader, we invite you to make your mark at InterContinental Buckhead Atlanta.
IHG is proud to be an Equal Opportunity Employer. We celebrate diversity and are committed to building an inclusive environment for all-because hospitality begins with humanity.
Apply now and be part of the story that defines global luxury.
Auto-ApplyCCAS Director of Finance and Accounting
Chief finance officer job in Roswell, GA
Position Type: Full-time
Hours: 40 hours per week
Compensation: Based on education and experience (see below)
Position Overview: The Legionaries of Christ North American Territory invites you to consider joining our team as the Director of Finance and Accounting. Our mission is to reveal Christ's profound love, nurture dynamic Christian leaders, and build His Kingdom by helping individuals discover His transformative love, develop their gifts, and bring His light to the world. We are a dedicated and passionate community that serves the multiple organizations that conduct the evangelizing efforts of the Regnum Christi family.
The Director of Finance and Accounting will report to the Legionary North American Territorial Administrator (CFO). He assists the Territorial Administrator with directing all accounting procedures and activities and financing activities for the Legionaries of Christ in accordance with GAAP. He will identify, propose, and implement process and policy improvements, operational efficiencies, and cost savings mechanisms. He will prepare monthly and quarterly reports, budgets, forecasts, and cash projections. He will oversee the production of yearend tax receipts for donors. He is part of the directive team for the Territorial administration.
CCAS oversees the financial operation and administration for the North American Territory of the Legionaries of Christ. The territory has thirty-four (34) legal entities and operates in four (4) countries, twenty-five (25) States and twenty-eight (28) localities. The Director of Finance and Accounting manages financial operations for fifteen to twenty 501c3 corporations, supervises the territorial accounting team consisting of four people and a treasury/gift processing team of three people and interacts with the North American Territorial Administrators for the RC Federation and its localities and the Consecrated Women.
Essential duties and responsibilities:
Review and approve assignments of the accounting team to ensure timely record keeping including, payroll, accounts payable, month-end-close, general ledger maintenance, researching and resolving discrepancies, and preparing projections and consolidations.
Prepare and review month-end account reconciliation for balance sheet and income statements, including but not limited to bank reconciliations, donor reconciliations, payroll, accruals, and fixed assets.
Evaluate, update, and develop accounting policies to ensure compliance with generally accepted accounting principles (GAAP).
Evaluate and update accounting systems, procedures, and practices, including the development and maintenance of systems of internal accounting controls to ensure adherence to best practice accounting policies.
Manage the preparation of financial statements, including the analysis and reporting of results to provide forecasts, identify problem areas, and make specific recommendations for solutions/improvement
Prepare monthly financial and cash flow reports (actuals vs. budget), variance analysis, and projection analysis including consolidations. Work closely with department heads to monitor budgets and variances and propose timely solutions.
Prepare other financial projections, forecasts, and cash flow projections and other reports and analysis as requested by the CFO.
Oversee the preparation and monitoring of the annual budget; make recommendations as to available resources and financial limitations.
Coordinate the annual external audits.
Collaborate with the Territorial Administrator and senior leadership to establish and accomplish annual goals and objectives as well as strategic plans for the organization.
Provide advice, guidance, and direction on business matters, including operational policies and procedures, new initiatives, and management of stakeholder relationships
Serve on the Investment Committee, which monitors the performance of the investments of the Legion of Christ financial portfolio
Direct, supervise, and provide performance feedback and evaluations for the accounting and treasury/gift processing departments.
Maintain quality staff through training, coaching, planning, and monitoring/appraising results.
Stay up to date with emerging issues affecting the nonprofit organizations at either a state or federal level.
Ensure appropriate internal controls.
Review, establish, update policies and procedures for record keeping for all financial documentation.
Assist the global accounting team in the planning, selection, and transition from accounting in SAP to another system.
Performs other duties as requested.
Collaborates with:
• Territorial department heads
• Risk Manager/Fiduciary
• RC Federation and Consecrated Women Territorial Administrators
• Global accounting team
• CIO
Supervises:
• Senior Accountants
• Staff Accountants
• Treasurer
Values and Attributes to exhibit: Communion, Collaboration, Mutual Trust/Respect, Accountability, Subsidiarity, Team Player, Humble Service, professionalism, discretion and honesty, positive attitude for working in a team and the ability to work in a team, customer focused, self-awareness of one's abilities and limitations as well as how they affect others and the ability to recognize the abilities and limitations of others, respectful and open to the Teachings of the Catholic Faith and open to and very supportive of the mission of the Legion of Christ and the Regnum Christi Movement.
Qualifications:
Education:
A Master's degree in Accounting is preferred.
A Bachelor's Degree in Accounting, or a related field is required.
Experience:
Minimum of 10 years' experience including controllership at a similarly complex multi-location entity
A CPA is preferred, as are skills and experience involving capital projects.
Thorough knowledge of not-for-profit accounting, budgeting principles and practices, internal control systems, treasury management, financial reporting methodologies, and Generally Accepted Accounting Principles
Bilingual (English/Spanish)
Other Skills and Abilities:
Knowledge of SAP and SAGE Intacct, and ability to lead the transition to new accounting system.
Knowledge of Salesforce or ability to learn.
Proficient Microsoft Office with Advanced proficiency in Microsoft Excel
Demonstrates superb analytical skills for budgeting, forecasting, and financial analysis to create multi-year operational and strategic plans.
Business acumen
Knowledge of treasury management.
Knowledge of GAAP and understanding of accounting principles for nonprofits.
Excellent oral and written communication and presentation skills.
Ability to lead and build a team; develop and supervise staff
Proven leadership and decision-making abilities in a business setting
Must be a Catholic in good standing with a clear understanding of Catholic Social Teaching and its applicability to the Regnum Christi mission and ministries.
Employees must conduct themselves in a manner that is consistent with and supportive of the mission and purpose of the Church.
Their public behavior and social media presence must not violate the faith, morals, or laws of the Church or the policies of the organization.
Ongoing education: regularly engages in professional development and certifications to increase his knowledge and capability in the field.
Compensation and Benefits
The estimated base pay range for this position is $130,000 - $145,000 annually based on several factors, including but not limited to, experience, skills, and alignment with the role's responsibilities.
CCAS, Inc also offers its team members a robust benefits package that includes:
Hybrid of remote/work from home and in office day.
Several 100% employer-paid insurance benefits: basic life and short-term disability
Other employer-employee cost shared insurance benefits: medical, dental, vision, HSA, and PPO
Optional employee paid benefits: FSA, accident, critical illness, and hospital indemnity, long-term disability, additional life insurance
A retirement plan with a 25% match on the first 6% deferred
Generous paid time off and paid holidays
Paid parental leaves at 100% of base salary
Work Environment:
You will be directly supervised and supported by the Legionary Territorial Administrator.
The role is a hybrid model allowing for both remote work (1-2 days weekly), and in-person office days with some travel required for meetings, location visits, and ongoing professional development.
Application: If you are inspired by our mission and feel called to support our Regnum Christi family with your expertise and passion, we invite you to apply. Please submit your resume and cover letter by applying online at:
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Financial Controller
Chief finance officer 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
Financial Controller
Chief finance officer job in Atlanta, GA
We are looking for an experienced Financial Controller, or Controller, to undertake all aspects of financial management, including corporate accounting, regulatory and financial reporting, budget and forecasts preparation, as well as the development of internal control policies and procedures. Finance controller responsibilities will also include financial risk management.
Responsibilities
Manage all accounting operations including Billing, A/R, A/P, GL and Counsel, Cost Accounting, Inventory Accounting and Revenue Recognition
Coordinate and direct the preparation of the budget and financial forecasts and report variances
Prepare and publish timely monthly financial statements
Coordinate the preparation of regulatory reporting
Research technical accounting issues for compliance
Support month-end and year-end close process
Ensure quality control over financial transactions and financial reporting
Manage and comply with local, state, and federal government reporting requirements and tax filings
Develop and document business processes and accounting policies to maintain and strengthen internal controls
Additional controller duties as necessary
REVENUE DEPARTMENT
Keep track of and report paid campaign performances (per ad, email, outreach, etc.)
Cost (total, CPA, by week, by day, by rep, etc.)
Number of Conversions
Conversion Rate
Conversion Timeframe
Properly keep track of lead source (WITHOUT sales or marketing teams' manual data entry or input)
Keep track of and report sales performance (per team, per rep, etc.)
Sales Conversion Rate
Conversion Timeframe
Cash Collected
PIF Percentage
Deal Source
Prospect's Journey (Touch Points)
etc.
GENERAL
Find better financial products and solutions such as payment processors.
Negotiate rates with banks, suppliers, etc.
Financial projection.
Cash flow management, and maintaining bank accounts.
Expenses control.
Help convert contractor to employees with benefits!
Requirements
Proven working experience as a Financial controller
5+ years of overall combined accounting and finance experience
Advanced degree in Accounting
CPA or CMA preferred
Thorough knowledge of accounting principles and procedures
Experience with creating financial statements
Experience with general ledger functions and the month-end/year-end close process
Excellent accounting software user and administration skills
Bachelor's Degree in Accounting required; MBA preferred.
Certified Public Accountant (CPA), Certified Management Accountant (CMA), or Chartered Global Management Accountant (CGMA) credential required.
Minimum seven years of relevant management experience required.
Previous experience in a healthcare and medical group financial management including revenue cycle is required. Multi-specialty practice experience is preferred.
Experience running full cycle payroll on various software (ISolved, ADP, Paychecks, etc.)
QuickBooks, Microsoft Dynamics GP (Great Plains), and/or other general ledger software applications-experience needed.
Advanced Microsoft Excel experience required
Strong interpersonal, management, analytical and communication skills.
Ability to multi-task, work under pressure and meet deadlines.
Pre-employment drug screen is required. A background check will be required.
CORPORATE FINANCIAL CONTROLLER
Chief finance officer job in Blackshear, GA
At Daniel Defense Only the Best Build the Best…
Daniel Defense engineers and manufactures the world's finest weapon systems and accessories. Our mission to honor God and defend freedom is accomplished by serving customers and providing top quality solutions to our military, law enforcement and civilians that are seeking premium firearms for home defense, hunting, and sport shooting.
The Corporate Financial Controller (“FC”) is a senior management position that will be responsible for the functions outlined below:
Primary Functions:
Oversight and responsibility for financial reporting, internal controls, treasury management, tax planning, insurance management, internal audit, quality of earnings, and enterprise value creation within Daniel Defense.
Responsible for the accounting operations of the company to include but not limited to the production of periodic financial reports, maintenance of an adequate system of accounting records, a comprehensive set of Sarbanes-Oxley level financial controls, and budgets / forecasts designed to mitigate risk, enhance the accuracy of the company's reported financial results, and ensure that reported results comply with Generally Accepted Accounting Principles (GAAP).
Management
Lead and optimize all accounting operations, ensuring accurate financial reporting, strong internal controls, and compliance with GAAP.
Directly responsible for accounting for day-to-day operations of accounting function (GL, AP, AR, month, quarter, and year-end close).
Develop and mentor a high-performance team, fostering a culture of collaboration and accountability.
Establish and continuously improve business processes and procedures to drive scalability in a high growth environment.
Drive data transformation to deliver faster and richer insights in support of data-driven decision making
Oversee the accounting requirements of sister or non-for-profit organizations as required, especially their control systems, transaction-processing operations, and policies and procedures.
Maintain Certified Public Accountant professional education credits and other requirements.
Responsible for demonstrating commitment to and leadership of environmental health and safety principles, policies and procedures.
Financial Reporting
Oversee the preparation and presentation of monthly, quarterly, and annual financial statements in compliance with accounting standards (GAAP).
Prepare journal entries, as necessary, and manage the period close responsibility checklist.
Monitor financial performance, analyze results, and recommend corrective action.
Internal Controls
Design, implement, and monitor internal controls to safeguard company assets, ensure compliance, and promote operational efficiency.
Maintain documented accounting policies and a system of internal financial controls in accordance with the Sarbanes-Oxley Act of 2002.
Monitor inventory levels and ensure accurate and timely recording of transactions.
Administer inventory cycle count program.
Treasury and Cash Management:
Monitor cash flow, working capital, and liquidity to ensure the company meets its financial obligations and is positioned for growth.
Oversee the company's cash position, banking relations, credit policies, and procedures, ensuring cash is balanced daily and projections are accurate.
Oversee bank reconciliations and balance sheet reconciliations.
Monitor compliance with debt covenants
Audit
Coordinate with external auditors during audits and ensure compliance with all regulatory requirements and company policies.
Develop internal audit procedures and oversee ongoing internal audit activities.
Ensure appropriate costing for existing products and new products coming to market.
Tax
Manage tax return filing process in accordance with local, state, and federal guidelines for all sales/use, property, and federal excise taxes.
Coordinate with external partners to ensure timely filing of all income tax returns and estimated payments.
Insurance / Risk Management
Support annual insurance renewal and risk mitigation activities.
Conduct annual reviews of corporate business, worker's compensation, and other insurances, contributing to final insurance decisions.
Additional Accountabilities:
Participates in the company's efforts to continuously improve in Safety, 6S, Quality, Delivery and Productivity.
Expected to be a contributor to the company standards on high integrity, safety, and a positive work environment.
Other responsibilities as deemed appropriate or necessary by management.
Knowledge, Skills and Abilities:
Bachelor's Degree in Accounting, Finance, or Business Administration with 8+ years of progressive responsibility or a combination of related experience, education and/or training to effectively perform the essential functions of the job.
Certified Public Accountant designation required.
Participation or lead in an ERP implementation preferred.
Will be expected to travel as needed to company locations, customers, suppliers, etc.
Periodic weekend or evening work is expected.
Demonstrated ability to recognize and work in accordance with our Permission to Play Values
Physical Requirements:
Must be able to lift and carry awkward items weighing up to 50 pounds.
Requires intermittent standing, walking, sitting and bending throughout the workday.
Must be able to work in a manufacturing environment, to include working in and around machinery, exposure to noise and chemicals, lights/lasers, etc.
Must be able to wear appropriate Personal Protection Equipment as required by your position and/or Company policy.
Daniel Defense is an EOE AA M/F/Vet/Disability employer and promotes a "Drug-Free Workplace."
Note: The statements above are intended to describe the general nature and level of work being performed by those assigned to the job. This list is not intended to be an exhaustive list of responsibilities, duties, and skills required of personnel in this job. Responsibilities are subject to change at the discretion of the employer and do not establish a contract of employment - Daniel Defense is an at-will employer.
Auto-ApplyFinancial Controller
Chief finance officer job in Atlanta, GA
Job Description
Howard Enterprise is a fast-scaling organization operating across multiple verticals - including media, events, education, digital products, and partnerships. We're looking for a Financial Controller who will serve as the backbone of our internal financial operations, ensuring accuracy, compliance, and data-driven decision-making as we scale toward $100M+.
This role is ideal for a financially sharp operator who thrives in fast-paced, entrepreneurial environments. You'll build and refine financial systems, manage accounting processes, and deliver the insights that empower our leadership to make confident, growth-oriented decisions.
Key Responsibilities:Accounting & Reporting
● Prepare and manage monthly financial statements, balance sheets, and income statements.
● Oversee month-end and year-end close processes with precision and timeliness.
● Maintain the general ledger, journal entries, and bank reconciliations.
● Manage A/P and A/R, including approvals, coding, and payment schedules.
● Oversee contractor invoicing and 1099 processing for compliance and accuracy.
● Partner with the CFO and external CPA firm on tax preparation and compliance.
Financial Operations & Systems
● Oversee payroll operations in collaboration with HR and Operations.
● Perform variance analysis and provide insight into month-over-month and year-over-year performance.
● Implement and continuously improve financial controls, processes, and systems.
● Evaluate and optimize account structures and cost centers across business units.
● Manage vendor, banking, and software relationships.
Data, Forecasting & Strategic Insights
● Lead company-wide financial forecasting across all business verticals.
● Consolidate and analyze financial and operational data to support scaling strategies.
● Conduct trend and variance analyses to identify risks, inefficiencies, and profit opportunities.
● Support the CFO in preparing board-level reports and dashboards.
● Collaborate with Strategy and Operations teams to connect financial metrics to key business KPIs.
Requirements
● Bachelor's degree in Accounting or Finance (required).
● 5-10 years of progressive experience in accounting or finance, ideally within media, digital education, or service-based companies.
● Proven track record managing multi-entity or multi-vertical accounting.
● Deep understanding of GAAP, internal controls, and monthly close processes.
● Advanced proficiency in Excel (Pivot Tables, VLOOKUPs, formulas) and financial platforms like QuickBooks or NetSuite.
● Exceptional analytical, problem-solving, and communication skills.
● Experience with contractor-heavy teams (1099s) and diversified revenue streams (courses, partnerships, events, etc.).
● CPA designation preferred but not required.
Benefits
● Salary: $75,000 - $100,000 (DOE)
● Bonuses: Based on accuracy, speed of close, and forecasting precision.
● Career Path: Opportunity to advance into Director of Finance or VP of Finance as the company scales.
● Remote Work: Office, Internet, and Computer setup for full-time capabilities.
What Makes You a Great Fit:
You're more than a bookkeeper - you're a builder. You anticipate needs, create systems before they're urgent, and bring both precision and adaptability to every challenge.
You'll thrive in this role if you:
✅ Build processes before they're needed.
✅ Thrive in environments where pace and precision both matter.
✅ Combine structure with strategic curiosity.
✅ Operate with integrity, accountability, and excellence.
✅ Love translating numbers into clarity and action.
How to Apply
If you're a confident, forward-thinking professional who thrives on making big things happen, and you love supporting a fast-moving entrepreneur with bold goals, we want to meet you!
Apply today and include a brief note about why this role feels like the perfect fit for you.
We also ask that all applicants complete the Assessment at the link below before moving forward in the hiring process:
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Join a growing investing company focused on improving business objectives.
Treasurer
Chief finance officer job in Atlanta, GA
Angott Search Group is pleased to partner with a specialty finance company in their search for a Treasurer. The selected candidate will provide leadership and direction of the Treasury department. Key responsibilities include balance sheet strategy development, asset/liability management, portfolio management, investor relations, capital planning, liquidity management, loan/deposit pricing, and other finance initiatives.
Required Skills & Competencies:
Significant experience issuing Asset-Backed Securities and managing Asset-Backed revolving credit facilities.
Significant budget and forecasting experience, valuation experience, and regulatory knowledge.
Solid understanding of Capital and Liquidity planning and A/L modeling concepts, and cash flow modeling techniques.
Attention to detail and information accuracy.
Proficient with all Microsoft products, including Excel, Word, and PowerPoint.
Detail-oriented with excellent analytical skills.
Ability to work well with professionals at all levels of the organization.
Adaptable to changing environments and time pressures.
Excellent written, oral, and interpersonal communication skills.
Education: Bachelor's degree in Finance or Accounting; MBA preferred
Experience: 15+ years of Financial Services industry experience preferred. Chartered Financial Analyst (CFA) or Certified Treasury Professional (CTP) designations are a plus.
Director, Finance & Accounting
Chief finance officer job in Atlanta, GA
Description & Requirements Maximus is currently seeking a Director, Finance & Accounting. In this role, you will be responsible for performing and providing financial oversight to the business. . Essential Duties and Responsibilities:
- Prepare financial budgeting, forecasting and reporting on a monthly, quarterly, and annual basis, while performing variance analysis between forecast and actual.
- Ensure effectiveness of accuracy and timeliness of forecasting, reporting, accruals, and other financial related processes and systems on a weekly and monthly basis.
- Provide direct financial leadership and support for assessing service allocation rates, composition of cost pools for new allocations.
- Work with group and project finance teams to develop, administer, and implement process improvements and methodologies and cost allocation expectations.
Job-Specific Essential Duties and Responsibilities:
- Lead a team of financial professionals to develop and implement a financial strategy that is effective, consistent and aligns with the organization's overall financial strategy.
- Responsible for oversight and maintenance of project financial records and forecasts.
- Provide strategic pricing leadership to support a new business area.
- Participate in all internal and external audits.
- Oversee the monthly and quarterly financial close process for assigned businesses.
- Coordinates with Project Management to develop operational productivity analysis and tracking of metrics to identify where cost efficiencies can be achieved.
- Reviews contract modifications, maintain financial contract files and prepares reports, documentation and presentations as appropriate.
- Ensure client invoices are compliant with MAXIMUS policy and client requirement to ensure projects are billed accurately and timely.
- Manages Direct Sales Outstanding by expediting collections and keeping unbilled as low as possible.
- Ensure compliance with applicable policies and procedures as well as US GAAP, FAR, CAS and statutory regulations, acting as a champion of the company policy and procedures.
- Provide monthly, quarterly and annual forecasting for financial and business planning with Project Management and Division finance and works closely to track performance and provides timely variance and Risk and Opportunity analysis.
- Prepares routine and ad-hoc financial reports and analysis using MAXIMUS proprietary tools, Enterprise solutions, CostPoint, Cognos Reporting, and Excel
- Lead cooperative effort among members of a team.
- Provides ongoing supervision too assigned staff.
- Responsible for identifying and resolving issues, problems and concerns.
- Receives assignments in the form of objectives and determines how to use resources to meet schedules and recommends changes to policies and establishes procedures.
- Interacts with different levels of external and internal customers.
- Ensures the confidentiality and security of all corporate information.
- Other duties as assigned.
Minimum Requirements
- Bachelor's degree in related field required.
- 10-12 years of relevant professional experience required.
Job-Specific Minimum Requirements:
- Bachelor's degree in accounting or finance from an accredited college or university or equivalent experience in lieu of degree. Master's Degree preferred.
- Due to customer requirements, United States Citizenship is required.
- The ability to obtain or maintain a government issued security clearance is required.
-10+ years of relevant professional experience required.
- At least 5 years of experience in project accounting, financial control/management or similar discipline.
- 2-3 years management experience required.
- Must have DoD financial experience.
- Must have strategic pricing experience.
- Ability to coach, develop and mentor team members.
- Proficient in Microsoft Office (strong Word and Excel skills).
- Excellent organizational, interpersonal, verbal, and written communication skills, ability to perform quantitative and qualitative analyses of existing business processes.
- Ability to perform comfortably in a fast-paced, deadline-oriented work environment.
- Ability to work under standards-based performance measures.
- Ability to successfully execute many complex tasks simultaneously.
- Ability to work as a team member, as well as independently.
- Ability to be a self-starter.
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EEO Statement
Maximus is an equal opportunity employer. We evaluate qualified applicants without regard to race, color, religion, sex, age, national origin, disability, veteran status, genetic information and other legally protected characteristics.
Pay Transparency
Maximus compensation is based on various factors including but not limited to job location, a candidate's education, training, experience, expected quality and quantity of work, required travel (if any), external market and internal value analysis including seniority and merit systems, as well as internal pay alignment. Annual salary is just one component of Maximus's total compensation package. Other rewards may include short- and long-term incentives as well as program-specific awards. Additionally, Maximus provides a variety of benefits to employees, including health insurance coverage, life and disability insurance, a retirement savings plan, paid holidays and paid time off. Compensation ranges may differ based on contract value but will be commensurate with job duties and relevant work experience. An applicant's salary history will not be used in determining compensation. Maximus will comply with regulatory minimum wage rates and exempt salary thresholds in all instances.
Accommodations
Maximus provides reasonable accommodations to individuals requiring assistance during any phase of the employment process due to a disability, medical condition, or physical or mental impairment. If you require assistance at any stage of the employment process-including accessing job postings, completing assessments, or participating in interviews,-please contact People Operations at **************************.
Minimum Salary
$
145,000.00
Maximum Salary
$
160,000.00
Easy Apply