Accounting - Adjunct
Russells Point, OH
Qualifications Successful candidates will possess an earned Bachelor's degree in Business with a concentration in accounting from an accredited institution of higher education. Candidates with auditing experience is preferred. Teaching experience is a plus.
Employment and Benefits
In special circumstances, course pay (compensation) may be higher for hard to staff courses or may be lower for low enrollment courses. Please contact the Program Director for more information.
Zane State College does not discriminate on the basis of race, color, religion, gender, gender identity or expression, national origin (ancestry), military status (past, present or future), disability, age (40 years or older), status as a parent during pregnancy and immediately after the birth of a child, status as a parent of a young child, status as a nursing mother, status as a foster parent, genetic information, or sexual orientation.
Junior Project Controller
Columbus, OH
**NO C2C - 12 MONTH CONTRACT AND REMOTE**
As a Junior Project Controller, you will play a critical role in financial management and project control within the organization. You will be responsible for tracking costs, managing estimates, and ensuring alignment with IT Accounting Policy. You will collaborate with cross-functional teams, analyze financial variance, and support process improvements. Your attention to detail, strong analytical skills, and commitment to our values will be key in driving project success.
Qualifications:
Bachelor's degree from an accredited college/university in a related discipline (Computer Science, Engineering, Accounting, Finance, Economics) or equivalent work experience.
5 years of experience.
Demonstrated experience in financial analysis and reporting.
Demonstrated experience in leading multiple process improvement initiatives.
Ability to work independently across multiple functional domains.
Demonstrated relevant experience in the development and coaching of other team members.
Excellent written and verbal communication skills.
Strong experience with MS Office tools (Excel, Word, PowerPoint, and Visio).
Aptitude for attention to detail, accuracy, precision, and logic.
Demonstrated strong process orientation and analytical/problem-solving skills.
Experience with ServiceNow PPM or other similar Portfolio and Project Management tool is a plus.
Understanding of various Project Management methodologies (Agile, Waterfall, Iterative) is a plus.
Utilities Industry experience is a plus.
Must exhibit the Client Way and incorporate values into work activities and initiatives: Personal Accountability, Integrity, Results, Inclusion, and Teamwork.
Responsibilities:
Track costs and ensure they align with IT Accounting Policy.
Manage the monthly Present Estimate (Forecast) process.
Reconcile Budget to Actuals (Cost & Hours).
Track project-related accruals (services, software, and other related costs).
Present financial variance analysis to business partners and management.
Develop and maintain Resource and Cost Plans in ServiceNow PPM.
Manage the Change Control process (PCRs) and associated documentation and reporting.
Manage Contingency Management process-associated documentation and reporting.
Track vendor contracts (SOWs, PO's, Invoices, etc.).
Reconcile Resource Plans to internal (Workbrain) and external (ServiceNow) timecard systems.
Accountable for the development of formal program progress reports and associated processes/tooling.
Create and actively participate in Project Controller Community of Practice (COP).
Create best practice/onboarding documentation.
Drive continuous improvements into our processes and tools to improve project delivery.
Finance & Business Management - Home Lending Operations
Columbus, OH
Business Management optimizes business performances by helping to drive key initiatives. We act as trusted advisors and counterweight to Business/Group Heads, and are responsible for identifying, escalating, and mitigating business risks. The role of a business manager is dynamic and can vary from business to business, in line with the priorities of the different lines of business.
This is a time-pressured and high-profile position which is instrumental in assisting/advising senior management and in coordinating the deployment of the bank's corporate resources to address strategic and tactical objectives.
The main aim of a Business Manager is to:
Implement new business strategy, strategic initiatives or platforms, including aligning department and support groups (Finance, Tech, Ops, Legal, Compliance)
Optimize 'bottom line' business performance by driving key initiatives (fees, cost base, RWA and capital utilization)
Identify, escalate and mitigate business risks that could impair our ability to do business: e.g. legal, tax, regulatory, capacity issues, extraordinary transaction costs
Analyze financial performance, including expenses; identify productivity initiatives and drive implementation
Partner with the business, Operations and Technology in the definition of future workflows and implementation of related technology and infrastructure projects to prepare the business to meet the requirements of an ever evolving market structure
Partner with the relevant external service/ infrastructure providers
Business representation in respective internal/external working groups
This position will be specifically supporting the Home Lending Operations business, working closely with the business to identify and track operational efficiencies
Responsible for managing a small number of local/international employees
Qualifications
Bachelor's degree in Business, Finance, Economics, or other related area
Previous product knowledge and/or prior Business Management or COO experience
Energetic and dynamic in style
Highly motivated self-starter with excellent time management/prioritization skills
Present well to senior and global business heads
Able to forge strong internal relationships across a broad range of functions
Self-motivated, tenacious and able to work with high degree of independence
Excellent written and oral communication skills
Able to both define and deliver to conclusion a strategic agenda across multiple groups
Strong analytical and problem solving skills with ability to analyze large data sets and present conclusions concisely
Excellent project management and organizational skills
Attention to detail with logical thought process
Auto-ApplyFinancial Planning and Analysis Manager
Westerville, OH
Vertiv, a global leader in network power solutions, seeks a Manager at its Americas Services HQ located in Westerville, OH. Reporting to the Director Services Finance, the successful candidate will provide financial planning & analysis support and accounting support for the Electrical Reliability Services (ERS) & High Voltage Maintenance (HMV) business units. The ideal candidate is beyond reproach in financial planning & analysis, proper & accurate accounting as well as being committed to root cause analysis that delivers insight, not just information, and regularly displays an inquisitiveness that craves continuous learning and drives continuous improvement.
RESPONSIBILITIES
* Responsible for providing insight, support and guidance to the business partners in all financial and accounting related matters
* The role will be primarily responsible for the financial forecast and budgeting process providing assurance that it is reasonable and accurate.
* The role also assumes responsibility for the general ledger accounting, with month end responsibilities, interacting with business partners, other departments and business disciplines.
* Additional job duties will include assembly of information necessary to evaluate month end accruals and reserves and support the financial statement audit and related activities.
* Perform month end accounting tasks to ensure complete, proper & accurate general ledger close in timely manner and all accounting transactions are recorded in accordance with U.S. GAAP and Vertiv policies and procedures
* Prepare, understand, summarize and discuss the monthly financial forecast for ERS & HVM
* Prepare the compilation of standardized key metrics, performance indicator and periodic reporting requirements and discuss these with finance and business leadership
* Prepare and evaluate the analysis of profit margins for all business and geographic segments including the identification of operational improvement opportunities
* Work with the ERS & HVM Management team in developing & reporting sales & orders projections
* Prepare detailed accounting & finance analysis as required to support ongoing evaluation of business unit financial performance
* Maintain ownership of various monthly account reconciliations
* Adeptly utilize existing tools and applications to review and analyze business results that provide insights to business leaders
* Leverage business insights gained in review and analysis to improve business forecasting and the accuracy of business forecasts
* Execute all phases of ERS & HVM annual budget process and conduct monthly cost center budget performance reviews with division management
* Provide detailed accounting analysis & support as required and for audit inquiries
QUALIFICATIONS
* BS/BA is accounting or finance. CPA is preferred
* 7+ years of accounting & finance experience • In-depth knowledge of US GAAP
* Very proficient in spreadsheets, databases, MS Office, Oracle, Hyperion Financial Management, and financial software applications.
JOB SUMMARY
* Strong organizational, time & project management, prioritization skills and ability to handle multiple projects with minimal supervision and meet deadlines
* Confidence in challenging the status quo; always on the hunt for continuous improvement opportunities
* The ability to go fast; the desire to help others go faster
* Strong analytical skills, including ability to think about complex issues using scientif ic/critical thinking approach to solve problems and make sound judgments
* Strong communication skills, including the ability to discern from available data what should be pertinent to upper levels of management
PREFERRED QUALIFICATIONS:
* Either Big 4/large regional public accounting and/or large global manufacturing background is strongly preferred.
* Proficiency in all Microsoft Office tools
* Experience with SAP, Oracle, or another ERP system a plus
* Experience with Hyperion Essbasse or Hyperion Financial Management also a plus
Auto-Apply
Successful candidate possesses expert knowledge of
Income Tax Preparation
Monthly Close / Journal Entries
Sales/Use Tax Preparation
Payroll Preparation
Bank and Credit card monthly reconciliations
Accounts Receivable
Accounts Payable
Cost Analysis
As well as other special projects / duties as assigned.
Candidate must possess intermediate knowledge of double-entry accounting systems as well as relevant accounting experience and education. Must demonstrate ability to
analyze and record common transactions in the accounting system (with strong understanding of cash basis, modified cash basis, and tax basis of accounting).
monitor and process payroll for client companies, who operate in diverse industries and environments
identify potential payroll compliance issues and prepare appropriate compliance forms for federal, state and local payroll taxes
manage accounts payable
execute monthly accounting procedures, including ability to reconcile the general ledger system to each sub-ledger sales and purchasing system used to process the individual transactions
reconcile general ledger bank accounts to bank accounts monthly
effectively manage time, meet deadlines, and work under pressure
communicate effectively, both orally and in writing
work independently and as a member of a team
maintain strong client relationships
EDUCATION & SKILLS
Holds CPA certification or working towards CPA certification
Bachelor's degree with accounting focus is preferred.
Experience with computerized accounting
Advanced Excel knowledge is preferred
Possess high level of integrity
JOB TYPE
Full-time
Manager, Financial Planning and Analysis - Brand Products
Dublin, OH
What Financial Planning & Analysis contributes to Cardinal Health
Finance oversees the accounting, tax, financial plans and policies of the organization, establishes and maintains fiscal controls, prepares and interprets financial reports, oversees financial systems and safeguards the organization's assets.
Financial Planning & Analysis provides strategic partnership and objective guidance to business units. It leads cross functional efforts to enable forward looking, actionable insights with a focus on driving strategic value that influences key business decisions.
Responsibilities
Leads financial reporting for brand products, including reviewing the preparation and presentation of management reports and/or corporate reporting requirements
Ensure integrity of information and keep management updated on key information
Consolidates brand buying margin and selling margin to enable and tell the brand story
Forecasts financial measures, including expected margin and profitability for the assigned business areas
Creates ad-hoc analyses/reporting to address historical trend analysis and inform future projections
Recommends business strategies and provides inputs to financial strategic priorities
Qualifications
8-12 years of experience preferred
Bachelor's degree in related field preferred, or equivalent work experience preferred
What is expected of you and others at this level
Applies advanced knowledge and understanding of concepts, principles, and technical capabilities to manage a wide variety of projects.
Participates in the development of policies and procedures to achieve specific goals.
Recommends new practices, processes, metrics, or models.
Works on or may lead complex projects of large scope.
Projects may have significant and long-term impact.
Provides solutions which may set precedent.
Independently determines method for completion of new projects.
Interacts with peers, customers, and suppliers at various management levels; may interact with senior management.
Gains consensus from various parties and receives guidance on overall project objectives.
Acts as a mentor to less experienced colleagues.
Time Zone: The ideal candidate for this role will be located in the Eastern time zone/open to working Eastern hours.
Anticipated salary range: $103,500 - $147,900
Bonus eligible: Yes
Benefits: Cardinal Health offers a wide variety of benefits and programs to support health and well-being.
Medical, dental and vision coverage
Paid time off plan
Health savings account (HSA)
401k savings plan
Access to wages before pay day with my FlexPay
Flexible spending accounts (FSAs)
Short- and long-term disability coverage
Work-Life resources
Paid parental leave
Healthy lifestyle programs
Application window anticipated to close: 10/29/2025 *if interested in opportunity, please submit application as soon as possible.
The salary range listed is an estimate. Pay at Cardinal Health is determined by multiple factors including, but not limited to, a candidate's geographical location, relevant education, experience and skills and an evaluation of internal pay equity.
Candidates who are back-to-work, people with disabilities, without a college degree, and Veterans are encouraged to apply.
Cardinal Health supports an inclusive workplace that values diversity of thought, experience and background. We celebrate the power of our differences to create better solutions for our customers by ensuring employees can be their authentic selves each day. Cardinal Health is an Equal Opportunity/Affirmative Action employer. All qualified applicants will receive consideration for employment without regard to race, religion, color, national origin, ancestry, age, physical or mental disability, sex, sexual orientation, gender identity/expression, pregnancy, veteran status, marital status, creed, status with regard to public assistance, genetic status or any other status protected by federal, state or local law.
To read and review this privacy notice click
here
Auto-Apply(Worldpay) Technical Accounting Manager
Cincinnati, OH
Company DescriptionJobs for Humanity is partnering with FIS to build an inclusive and just employment ecosystem. Therefore, we prioritize individuals coming from the following communities: Refugee, Neurodivergent, Single Parent, Blind or Low Vision, Deaf or Hard of Hearing, Black, Hispanic, Asian, Military Veterans, the Elderly, the LGBTQ, and Justice Impacted individuals. This position is open to candidates who reside in and have the legal right to work in the country where the job is located.
Company Name: FIS
Position Type :
Full time
Type Of Hire :
Experienced (relevant combo of work and education)
Education Desired :
Bachelor of Accounting
Travel Percentage :
15 - 25%
Our technology powers the world's economy and our teams bring innovation to life. We champion diversity to deliver the best products and solutions for our colleagues, clients and communities. If you're ready to start learning, growing and making an impact with a career in fintech, we'd like to know:
What you will be doing:
Lead accounting functions for complex accounting areas such as stock compensation, leases, debt and other complex accounting matters
Work with business leaders on unique transactions and researching US GAAP and IFRS to help structure transactions
Keep the company and Accounting leaders current on accounting pronouncements to ensure continued accurate financial reporting
Manage accounting processes for valuations for goodwill analysis, intangibles, and purchase accounting
What you need:
Understanding of US GAAP and IFRS and the related research tools
Ability to dissect complex accounting literature and be able to apply guidance to proposed transactions
Ability to guide the business on new accounting pronouncements
Understanding of financial statements, including Income Statement, Balance Sheet and Cash Flow Statement.
Added bonus if you have:
Big 4 experience
History of technical accounting
What we offer you:
Opportunities to innovate in fintech
Inclusive and diverse team atmosphere
Professional and personal development
Resources to contribute to your community
Competitive salary and benefits
Privacy Statement
FIS is committed to protecting the privacy and security of all personal information that we process in order to provide services to our clients. For specific information on how FIS protects personal information online, please see the Online Privacy Notice.
EEOC Statement
FIS is an equal opportunity employer. We evaluate qualified applicants without regard to race, color, religion, sex, sexual orientation, gender identity, marital status, genetic information, national origin, disability, veteran status, and other protected characteristics. The EEO is the Law poster is available here supplement document available here
For positions located in the US, the following conditions apply. If you are made a conditional offer of employment, you will be required to undergo a drug test. ADA Disclaimer: In developing this job description care was taken to include all competencies needed to successfully perform in this position. However, for Americans with Disabilities Act (ADA) purposes, the essential functions of the job may or may not have been described for purposes of ADA reasonable accommodation. All reasonable accommodation requests will be reviewed and evaluated on a case-by-case basis.
Sourcing Model
Recruitment at FIS works primarily on a direct sourcing model; a relatively small portion of our hiring is through recruitment agencies. FIS does not accept resumes from recruitment agencies which are not on the preferred supplier list and is not responsible for any related fees for resumes submitted to job postings, our employees, or any other part of our company.
#pridepass
Accounting Manager
Cincinnati, OH
Job Title: Accounting Manager
Job Type: Full-time
About the Role:
Manage and oversee the daily operations of the accounting department
Monitor and analyze accounting data and produce financial reports or statements
Establish and enforce proper accounting methods, policies, and principles
Ensure accurate and timely month-end and year-end close processes
Collaborate with the finance team to support overall department goals and objectives
Qualifications:
Bachelor's degree in Accounting, Finance, or related field
Proven work experience as an Accounting Manager or similar role
Professional certification such as CPA is a plus
Strong knowledge of US GAAP and financial regulations
Excellent organizational and leadership skills
Benefits:
Competitive salary and benefits package
Career development opportunities
Healthcare and wellness programs
401(k) retirement savings plan
Application Process:
If you are interested in the Accounting Manager position, please submit your resume and cover letter to **************************.
The pay listed or this role is $100k+
Easy ApplyFinance Mgr - Digital Technology
Westerville, OH
Finance Manager - Digital Technology Would you like to join the Logistics Company for the World? DHL Supply Chain is just that. Become an essential part of everyday life, by contributing to an organization that is Connecting People and Improving Lives. If you have a passion for people, a desire to problem-solve, and eagerness to pursue continuous improvement opportunities… we look forward to exploring career possibilities with you!
Job Description
The purpose of this role is to assist in the management and implementation of Digital Technology Strategies with particular focus on representing the NORAM finance and accounting functions as it pertains to Divisional and Regional roll-outs of various technologies. This includes actively engaging and collaborating with global and local functional teams including:
Global Functions:
* DSC Controlling Excellence and Data Analytics (CEDA)
* Finance Business Process Optimization (Includes Master Data Management team)
* IT Finance CoE
* Information & Performance Management
* Commercial Controlling
Local Functions:
* IT Americas
* NORAM Analytics & Performance Management
* HR Systems Americas
Responsibilities
* Develop appropriate interfaces to allow the transition of monthly updates and maintenance of master data and source system mappings to FPA finance manager. Continue to maintain and support regional Net Growth and ACG databases for facilitation of NORAM FP&A reporting and analysis.
* Act as primary point of contact representing NORAM Finance and Accounting for Data Analytics topics.
* Assist in the development and ongoing support of a NORAM Finance and Accounting Data Analytics strategy and its incorporation into the Division's global analytics strategy with CEDA and Snowflake technology as well as the Region's analytics strategy with Ops Excellence and Apollo/Azure & Power BI technologies.
* Assist in the development and support of a training strategy to bring Data Analytics tools to the NORAM Finance and Accounting teams.
* Act as primary point of contact for global finance MDM team. Support the development of processes and workflows that properly capture and track changes to finance and accounting master data in conjunction with global finance MDM team.
* Act as Finance and Accounting subject matter expert when it comes to integrating financial data with other source systems and data (for example, financial and LOGICs data)
* Ensure all licensing and security protocols are followed when in place when providing access to NORAM financial data. Review and ensure proper controls are in place for legacy applications.
* Ensure enterprise appropriate ETL processes are followed for accessing financial information.
* Evaluate and properly size the financial data footprint in subscribing systems and databases. Ensure that financial data is leveraged appropriately and that "one-off" data marts or other single use databases are not proliferated.
* Ensure coordination of Oracle R12 strategies and integrations with LATAM Finance and Accounting teams.
* Lead in the development of initial Power BI dashboards that support finance and accounting reporting requirements
* Lead in the continuing adoption and ongoing training and usage of Microsoft Teams. Act as the lead SME for NORAM Finance and Accounting, support increased and advanced usage of the features and applications to assist and improve collaboration across the function.
Required Education and Experience
* Undergraduate four year degree in related field or equivalent applicable experience, required
* 5+ yrs experience within finance and/or accounting industry
* Prior experience in financial analysis
* Financial Reporting and/or Data Analytics, Databases, Data modeling, etc, preferred
Our Organization has a business casual environment and focuses on teamwork, associate development, training, and continuous improvement. We offer competitive wages, excellent affordable insurance benefits (including health, dental, vision and life), 401K plan, paid vacation and holidays.
Our Organization is an equal opportunity employer.
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Financial Planning and Analysis Manager
Lebanon, OH
Job Description
Join the dynamic financial team at Miami Valley Gaming in Lebanon, Ohio, where your analytical skills will play a crucial role in driving our success. As a Full-Time Financial Planning and Analysis Manager, you'll immerse yourself in an electrifying environment that values your insights and strategic vision. Engage with energetic colleagues who are passionate about delivering exceptional customer experiences. You'll have the opportunity to shape financial strategies and influence decisions that impact our vibrant gaming culture.
This onsite position puts you right at the heart of the action, allowing you to collaborate closely with various departments and witness your contributions firsthand. As a team member you'll be able to enjoy benefits such as Medical, Dental, Vision, 401(k), Life Insurance, Health Savings Account, Flexible Spending Account, Paid Time Off, and Employee Discounts. Don't miss your chance to make a significant impact in an industry where excitement meets opportunity. Apply today to elevate your career in the thrilling world of gaming!
Let us introduce ourselves
We Create Excitement by providing the Best in Gaming and Hospitality. Miami Valley Gaming offers career paths for team members to move forward. The majority of our leadership team has been promoted from within the company. Our management team members appreciate our commitment to maintaining a healthy work/life balance in exchange for their loyal service and hard work. We have a dynamic work culture and incorporate FUN into all that we do! Our team members also get to participate in various charitable activities to give back to our community.
What does a Financial Planning and Analysis Manager do?
As a Financial Planning and Analysis Manager at Miami Valley Gaming, your day-to-day responsibilities will be both dynamic and pivotal to our operations. You will analyze financial data, create detailed reports, and present findings to senior management, ensuring data-driven decision-making. Collaborating with various departments, you'll help develop budgets, track performance metrics, and identify cost-saving opportunities while maintaining a customer-focused approach. You'll also conduct forecasting to predict future financial trends and prepare strategic plans that align with our exhilarating business goals.
Additionally, you will lead regular meetings to assess objectives, foster a culture of continuous improvement, and mentor your team to enhance their analytical skills. Your role is vital in maintaining our fun and energetic workplace while ensuring our financial health and success in the vibrant casino industry.
Are you a good fit for this Financial Planning and Analysis Manager job?
To excel as a Financial Planning and Analysis Manager at Miami Valley Gaming, you will need a robust skill set that combines analytical prowess with technical expertise. A Bachelor's Degree in Business, Finance, Accounting, Statistics, Mathematics, or Economics is strongly preferred. You should have a sound understanding of accounting principles, information technology, and familiarity with various software tools. Proficiency in Excel, multi-dimensional databases, Microsoft Report Builder, and Tableau is essential, as is advanced knowledge of Access, Outlook, Word, and PowerPoint. Being adept in VBA macros will enable you to automate data processes and optimize workflows effectively.
Familiarity with Bally Systems, Business Intelligence tools, CMP, and the Gaming Dispatch System will give you an edge. Your ability to quickly learn new computer systems and manage both labor and managerial positions will be crucial in navigating the fast-paced environment of the casino industry.
Knowledge and skills required for the position are:
Bachelor's Degree in Business, Finance, Accounting or equivalent is strongly preferred.
Knowledge and experiences that encompasses accounting information technology and software as well as detailed knowledge of labor positions and managerial positions.
Knowledge of Bally Systems Business Intelligence tools, CMP and Gaming Dispatch System is a plus.
Ability to learn various computer systems proficiently in a timely manner.
Advance proficiency in Excel, multi-dimensional databases. Microsoft Report Builder and Tableau.
Advance knowledge of Access, Outlook, Word and PowerPoint.
Advance proficiency in VBA macros to assist in data automation and process optimization.
Will you join our team?
If you believe that this position matches your requirements, applying for it is a breeze. Best of luck!
Job Posted by ApplicantPro
Accounting
Springfield, OH
Job DescriptionAccounting
Our client is a leading force in advancing safer, smarter AI technology. Their work has been featured in Forbes, The New York Times, and other major outlets for pioneering high-quality, human-verified data that powers today's top AI systems.
They have built a global community of expert contributors and have paid more than $500 million to professionals all over the world who help train, test, and improve next-generation AI models.
Why join this team?
Earn up to $40/hr, paid weekly.
Payments via PayPal or AirTM.
No contracts, no 9-to-5, you control your schedule.
Most experts work 5-10 hours/week, with the option to work up to 40 hours from home.
Join a global community of experts contributing to advanced AI tools.
Free access to the Model Playground to interact with leading LLMs.
Requirements
PhD or Master's degree in Accounting or a related field (current enrollment accepted).
Deep subject-matter expertise with the ability to create complex, graduate-level problems.
Strong analytical and problem-solving skills with experience crafting rigorous questions and solutions.
High attention to detail to accurately assess AI capabilities and evaluate peer submissions.
Fluency or high proficiency in English.
What you'll do
Teach AI to interpret and solve complex accounting reasoning problems.
Create challenging prompts designed to reveal areas where the model fails.
Build grading rubrics outlining what a strong, correct answer should include.
Write full-score answers based on your rubric.
Provide clear, constructive feedback to improve AI-generated responses.
Apply now and join the top 1% of accounting experts worldwide to shape the future of AI.
Local accounting firm searching for Tax and Accounting Manager
Cincinnati, OH
Job Description
We are seeking an experienced Tax and Accounting Manager to lead and oversee our firm's tax and accounting operations. This position is responsible for ensuring accuracy, compliance, and timely delivery of client services while managing a talented team of professionals. The ideal candidate brings strong technical expertise, a collaborative mindset, and a passion for delivering exceptional client service.
Key Responsibilities
Lead and manage employees within the Tax and Accounting departments
Oversee daily workflow, staff scheduling, and workload assignments
Conduct performance evaluations and provide coaching and development
Review and prepare complex corporate, partnership, and individual tax returns
Review monthly accounting compilations and reconciliations for key clients
Direct quarterly tax estimate processes and oversee related systems
Handle and resolve IRS/state examinations, tax notices, and time-sensitive compliance matters
Research and respond to questions from management consultants and associates
Coordinate pre-season tax planning and training activities
Collaborate with internal teams to ensure efficient client service delivery
Manage the 1099 process and year-end corporate closings
Participate in hiring and staffing decisions for the Accounting and Tax departments
Qualifications
Bachelor's degree in Accounting, Business Administration, or related field
CPA certification (preferred) or equivalent professional experience
4-6 years of management experience in tax and accounting
Strong working knowledge of accounting software and Microsoft Office Suite
Exceptional organizational and analytical skills
Excellent written and verbal communication
Ability to think critically, make sound decisions, and manage multiple priorities
Why Join Us
You'll be part of a collaborative and client-focused team that values accuracy, integrity, and continuous improvement. Salary commensurate upon experience. We offer a full benefits package.
#SG1
Job Posted by ApplicantPro
Finance Manager
Jefferson, OH
We are seeking a detail-oriented and customer-focused Finance Manager to join our automotive dealership team. As the Finance Manager, you will be responsible for assisting customers with vehicle financing options, ensuring compliance with lending regulations, and maximizing dealership profitability through the sale of finance and insurance products. This role requires excellent interpersonal skills, strong financial knowledge, and a deep understanding of the car sales process.
Key Responsibilities:
Present financing options and extended service products to customers in a clear and professional manner
Work closely with lenders and financial institutions to secure the best financing terms for clients
Structure deals effectively to optimize both customer satisfaction and dealership profitability
Submit credit applications, analyze credit reports, and obtain necessary approvals
Maintain compliance with federal, state, and local laws (e.g., privacy laws, Truth in Lending Act)
Ensure all finance paperwork is accurate, complete, and processed in a timely fashion
Sell additional finance and insurance products such as vehicle service contracts, GAP insurance, and maintenance plans
Collaborate with sales managers and sales consultants to close deals efficiently
Track F&I performance metrics and prepare regular reports for upper management
Stay up to date with new products, lending guidelines, and industry regulations
Qualifications:
Proven experience in automotive finance (minimum 2-3 years in F&I or dealership finance role)
Strong knowledge of financing and leasing options, credit guidelines, and F&I products
Excellent negotiation, communication, and customer service skills
Ability to explain complex financial terms in a simple and transparent way
Familiarity with dealership software systems
High level of integrity and professionalism
Bachelor's degree in Finance, Business, or related field preferred (but not required)
Preferred Skills:
Automotive industry experience is required
Bilingual abilities are a plus
Detail-oriented with strong organizational and documentation skills
Ability to work flexible hours, including weekends and evenings
Compensation & Benefits:
Competitive base salary plus commission/bonuses
Health, dental, and vision insurance
Paid time off and holidays
Employee vehicle purchase program
Ongoing training and professional development
Auto-ApplyWorkday Finance Project Manager (Healthcare)
Ohio
FIDES is looking for a Workday Finance module implementation Project Manager, preferably with prior experience in the healthcare industry. Under general supervision, the PM will manage the enterprise implementation, testing, and go-live of the Workday ERP system's Finance module for a Health System organization. This includes organizing and managing teams (client, systems integrator, and vendor), developing project plans and schedules, managing issues, risks, costs, managing to schedule and scope and communicating at all levels of the organization. This role is 50% onsite.
Responsibilities
Lead and manage the end-to-end implementation of Workday ERP system Finance module, ensuring projects are completed on time, within scope, and within budget.
Represent the client, ensuring their interests and requirements are prioritized and met.
Develop detailed project plans and manage project teams, including internal resources, Workday, and the system integrator supporting the implementation.
Facilitate effective communication among project stakeholders, including executives, department heads, IT teams, end-users, the implementation company, and Workday.
Identify and resolve project issues and risks, ensuring minimal disruption to project timelines and objectives.
Provide post-implementation support and training to end-users, ensuring a smooth transition to the new ERP system.
Qualifications
3 years program and/or project management required;
3 years business analysis preferred;
Prior experience managing Workday Finance module implementations required;
PMP certification preferred;
Bachelor's degree or equivalent;
Health IT experience preferred.
Accountant Controller
Mansfield, OH
Accountant Controller THIS IS NOT AN ENTRY LEVEL POSITION If you can commit to and live with the following principles, then you are the type of person who will be successful and help our company thrive. If you feel this level of engagement is not right for you or you're not willing or able to participate with us at this level, we are not a good fit for you. Our expectation is that you will take the steps necessary to do what you say you are going to do and be accountable for your actions. In other words, live "Above the line". We understand that not every person is ready for this level of of performance, and we appreciate the honesty of those who decide this is not the right place for them. On the the other hand, you would make an ideal candidate to join our company if you are willing to commit to the following Above the line principles:
Accountability: See it, Own it, Solve it, Do it
Become part of the solution
Respect for others and their feelings
Act Now
Ask the question: "What else can I do?"
Ask the questions: "What coaching do you have for me"? and "What can I do better"?
Personal ownership and pride
Reject Average
Show others you care
DEFINITION To manage the accounting operations of the Company, including the production of periodic financial reports; maintenance of an adequate system of accounting records, and a comprehensive set of controls and budgets designed to mitigate risk; enhancing the accuracy of the Company's reported financial results, and ensuring that reported results comply with generally accepted accounting principles and standards. Accounting operations shall include, but may not be limited to: corporate accounting, account reconciliation, budget and forecasts preparation, tax planning, maintenance of the general ledger, as well as development and implementation of internal control policies and procedures. SUPERVISION RECEIVED AND EXERCISED Receives direction from the Operations Manager and the President. Interfaces with the Certified Public Accountant regularly. Exercises technical and functional supervision over assigned staff, including Team Managers, data entry personnel and reception personnel. ESSENTIAL FUNCTIONS OF THE POSITION
Manages all accounting operations including Billing, General Accounting, Accounts Receivable/Payable, Payroll and Revenue Recognition
Generates daily and weekly reports of accounts (AP/AR, payroll, banking and other financials) to the President and Operations Manager
Manages invoice and cash receipts, credits and cash outs; reviews journal entries and identifies potential collection issues for AP/AR and payroll accounts
Reconciles weekly, daily or monthly AP/AR, benefits, banking and payroll accounts and interfaces with vendors, as needed
Conducts payroll entry and cost allocation to GL accounts, and EFT payroll transfers
Reviews reconciled payroll and interfaces with payroll vendor, as needed
Manages and conducts distribution of 401K and Health Savings Accounts
Conducts routine audits of prevailing wages, AP/AR benefits and banking accounts for accuracy and makes necessary corrections. Resolves BOE, IRS, FTB inquiries, reports and audits
Manages banking account transactions, including cash flow, deposits, transfers, and check clearance
Works effectively with vendors on all accounts
Manages Work In Progress (WIP) at month's end, close out completed jobs, run reports, and reconcile by the 15
th
of the month
Schedules and meets with managers to make adjustments and substantiations to close out month end for Work In Progress to zero
Manages month-end and year-end close fiscal processes
Compares and audits reports to identify issues or inaccuracies, as well as to identify varying trends.
Participates in personnel selection; provides or coordinates staff training; sets written expectations for fiscal personnel; coaches, develops and holds personnel accountable for meeting expectations; works with employees to correct deficiencies; implements discipline procedures; completes employee evaluations and development plans for career success in the Company
Attends professional trainings, as directed and appropriate for the position. Gathers approval for requested trainings that may provide benefit to the position
Works with the CPA to facilitate all asset purchases, depreciation, and adjustments
Prepares and publishes budget reports and monthly financial statements
Manages and complies with local, state and federal government reporting requirements and tax filings
Develops and documents business processes and accounting policies to maintain and strengthen internal controls
Coordinates and facilitates special projects for the President
Demonstrates a positive image of the Company to staff and clients; this shall include oral and written communication and visual presentation
Applies all safety rules and regulations to work efforts and prevents work hazards
Set superior standards for the team by leading by example
Other duties as assigned
QUALIFICATIONS Ability to:
Participate in procurement of insurances, Workers Comp, Liability and Health
Maintain corporate files and charting of account management
Review branch financials with Operations Manager or President
Expect and maintain superior customer service standards with peers, subordinates and customers.
Manage schedules for office managers
Manage crises as they occur. Assist in problem solving and in making this a more effective Company
Work on-call and in all emergency situations, as needed
Apply expert levels of mathematical and data entry skills
Communicate clearly and concisely, both orally and in writing; must be proficient in reading and writing the English language
Generate timely information with accuracy and efficiency
Assist in problem solving and in making the Company more effective and efficient
Delegate and organize tasks and duties in a timely and professional manner
Manage multiple projects at a time while paying strict attention to detail
Manage professional and timely contact with clients, employees and vendors
Produce work in a timely, budgeted, scheduled and profitable manner for the Company
Apply established Company policies and procedures, including safety procedures and principles
Develop and implement policies and procedures for the Company
Work in a close office environment and working with others to respect ideas and opinions
Provide exemplary customer services to clients, employees and vendors
Knowledge of:
Principles and practices of budget preparation, administration, financial management, revenue collection, auditing, controllership, reconciliation and balancing
Principles and practices of organization and administration
Modern office practices and technology, including Microsoft Office, Outlook, copiers, telephone, facsimile, proper filing techniques, etc.
Industry software and platforms: Xactimate, Contractor Connection, PSA, Dash, and other similar programs
Restoration industry language, practices and terminology
English usage, spelling, grammar and punctuation; expert mathematical and data entry skills
Principles and practices of supervision, training and performance evaluation
Company policies and procedures
Pertinent federal, state and local laws, codes and regulations that govern the areas of responsibility for the position, as well as the restoration industry
Industry practices or the ability to seek knowledge if new to the industry
Professional ethics
OSHA safety regulations of the industry
EXPERIENCE AND TRAINING/EDUCATION GUIDELINES Any combination of experience and education that would likely provide the required knowledge and abilities is qualifying. A typical way to obtain the knowledge and abilities would be: Experience:
Five years of increasingly responsible experience in restoration accounting or construction
Training/Education:
Bachelor's Degree in Accounting, Business Administration, Management, or a related field
License and Special Requirements:
Possession of, or ability to obtain, an appropriate, valid Ohio driver's license
PHYSICAL DEMANDS Must possess:
Mobility to work in a standard office setting and use standard office equipment
Accurate vision to read printed materials and a computer screen
Ability to communicate in person, before groups, and over the telephone
Finger dexterity to operate a computer keyboard, writing implements, office equipment and calculator
Ability to occasionally bend, climb or balance, kneel, stoop, walk, push, and pull drawers open and closed to retrieve and file information
Ability to lift up to 25 lbs. necessary to perform job functions
Ability to use hands to handle, feel or operate objects, tools or controls and reach with hands and arms
WORKING CONDITIONS Employees work in an office environment with moderate noise levels, controlled temperature conditions, and no direct exposure to hazardous physical substances. Employees may interact with upset staff and/or public and private representatives in interpreting and enforcing Company policies and procedures.
Compensation: 50,000 -65,000 Plus Bonuses
Auto-ApplyAccounting Manager / Full Charge Bookkeeper for Ecommerce Distribution
Twinsburg, OH
Job DescriptionJob Title
Accounting Manager / Full-Charge Bookkeeper (On-Site)
DF Supply, Inc. is a growing e-commerce and distribution company based in Twinsburg, Ohio. We operate in a multi-state and international environment and are looking for a hands-on Accounting Manager / Full-Charge Bookkeeper to manage day-to-day accounting while working closely with ownership and our external accounting firm.
Job Summary
This role is responsible for full-cycle accounting, including AP, AR, journal entries, sales tax compliance, and coordination with our outside CPA firm. The ideal candidate is detail-oriented, organized, and comfortable owning the accounting function while collaborating with a broader operations team.
Key Responsibilities
Day-to-Day Accounting
Manage full-cycle bookkeeping including Accounts Payable (AP) and Accounts Receivable (AR)
Prepare, review, and post journal entries in accordance with GAAP
Maintain accurate financial records within the ERP system
Reconcile bank accounts, credit cards, and balance sheet accounts
Tax & Compliance
Manage multi-state sales tax compliance (U.S.) and Canadian sales tax
Implement and maintain sales tax automation tools (Avalara preferred)
Handle international duties, tariffs, and related import taxes
Coordinate with external accounting firm on tax filings, audits, and reporting
Reporting & Operations
Provide regular financial reports to ownership
Support profitability analysis, pricing reviews, and cost controls
Improve and document accounting processes and internal controls
Assist with ERP optimization and accounting workflows
Required Qualifications
Bachelor's degree in Accounting, Finance, or related field (or equivalent experience)
5+ years of accounting or full-charge bookkeeping experience
Strong experience with multi-state sales tax compliance
Experience working with ERP systems (xTuple or NetSuite preferred)
Advanced Excel skills
Strong attention to detail and ability to work independently
Preferred Qualifications
Experience in e-commerce, distribution, or manufacturing environments
Experience with TaxJar or similar sales tax automation software
Experience with international imports, duties, and tariffs
Process improvement and documentation experience
Compensation & Benefits
Salary: $60,000 - $90,000 (based on experience)
Health insurance
3% non-matching 401(k)
Paid time off
Paid holidays
#hc213615
Junior Staff Accountant
Beachwood, OH
Penske Automotive Group is looking for an experienced Staff Accountant to join our team and help support our business operations in the accounting department.
JOIN OUR TEAM At Penske Automotive Group (PAG), we strive to create a positive and challenging workplace that promotes excellence and achievement, and we aim to deliver the very best experience possible to our customers. We are hiring for dedicated and motivated professionals who share that same passion.
Imagine working in a professionally and financially satisfying job where you have the opportunity to make a positive impact on our organization and customers every day. As a Staff Accountant, you will support our dealership network by assisting the Controller and Assistant Controller in the daily operations of the accounting department. The Staff Accountant will assist in preparing monthly reconciliation for all dealership accounts, prepare weekly and monthly analysis reports, and offer dealership management assistance as needed. This is a great opportunity for an Accountant looking to expand their knowledge and advance their career.
WHAT WE HAVE TO OFFER
Consistently recognized by Automotive News as among the "Best Dealerships to Work For."
Proudly named to Glassdoor's Best Places to Work
Comprehensive benefits program, including health care options (medical, dental and vision) and 401k savings and retirement plan with company match.
Training, resources and opportunities for career growth and advancement, tailored to individual performance, experience and interests.
Values-driven culture built on integrity, professionalism, excellence, and teamwork.
WHAT WE ARE LOOKING FOR
Friendliness, enthusiasm, reliability, with a positive "team-player" attitude.
Excellent communication, interpersonal and organizational skills.
Strong work-ethic with the ability to work in a fast-paced, results-driven environment.
Strong mathematical, analytical, and computer skills relevant to a Staff Accountant position.
WHAT YOU CAN BRING TO THE TABLE
Commitment: Ensure that our Penske Automotive Group dealerships run effectively and efficiently by accurately performing accounting duties as assigned.
Excellence: Support the accounting department ensuring accuracy in reconciliation of all accounts, ACH daily transactions, recording and coding incoming checks and all other duties quickly and accurately.
Accountability: Understand and comply with all regulations that affects the accounting department, and perform tasks accurately, fairly and in accordance with local, state and federal statutes, as well as company policies.
APPLY WITH US!
If you are ready for a rewarding career with competitive compensation and benefits, and opportunities to excel and advance, consider joining the Penske Automotive Group organization. Our interview process typically includes a phone interview, several in-person interviews, background check, reference check, driving record review and a drug screen. Be a part of the best customer experience team in the automotive industry... apply with us today!
Penske Automotive Group is an equal opportunity employer and maintains a drug- and alcohol-free workplace. Some positions may require applicants to possess a valid driver's license and have a good driving record.
Accountant under supervision of the Accounting Manager is responsible for Payroll, Accounts Payable and General Journal entry. The successful candidate is highly efficient, detail driven, willingness to learn and must work well under pressure.
Education
Bachelor's degree preferred, but relevant experience may be considered
Minimum Qualifications
Solid accounting knowledge
Strong Microsoft Excel skills
Team player and ability to work independently
Willing to take on and learn new tasks
Technical Skills
Familiar with Microsoft Dynamics Great Plains preferred
Proficient in Microsoft Excel
NextGen and similar electronic health record system experience preferred
QuickBooks knowledge preferred
Auto-ApplyMaintenance- Retreat At Marysville
Marysville, OH
Job Description
???? Join Our Team as a Maintenance Technician! ????
About Us: At Oakwood Management we believe in quality, innovation, and the power of a well-maintained environment. We're a team that values dedication, expertise, and a positive attitude. If you're a skilled Maintenance Technician looking to make a difference, we want you to join our team!
Your Role: Do you have a knack for fixing things and a passion for keeping everything in perfect working order? As a Maintenance Technician at Oakwood Management Company, you'll be the go-to person for all thing's maintenance. You'll ensure our facilities are safe, functional, and running smoothly, all while bringing your technical skills to the forefront.
What You'll Do:
Perform routine and preventive maintenance on building systems (HVAC, electrical, plumbing)
Troubleshoot and repair equipment and facility issues
Respond promptly to maintenance requests and emergencies
Maintain accurate records of maintenance work and inspections
Assist in the installation and setup of new equipment
Ensure compliance with safety and operational standards
Collaborate with the team to support the overall facility operations
What You Bring:
Proven experience as a Maintenance Technician or in a similar role
Strong knowledge of mechanical, electrical, and plumbing systems
Ability to troubleshoot and repair a wide range of equipment
Excellent problem-solving skills and attention to detail
Good communication and teamwork abilities
Flexibility to work occasional shifts or be on-call as needed
Relevant certifications or licenses (e.g., HVAC, electrical) are a plus
Your Benefits:
Paid medical insurance for employee. Dental, and Vision.
401K match.
Education Reimbursement, Advancement, and Training opportunities.
Rental discounts
Paid Weekly
Generous PTO
9 paid Holidays- Including YOUR BIRTHDAY!
Ready to Apply?
If you're ready to bring your expertise to a company that values your hard work and dedication, we want to hear from you! Apply today and start your journey with Oakwood Mgmt.
Oakwood Vision Statement-
To sustain growth through deep community connection while providing expertise, compassion, and unparalleled quality and service.
Core Values:
At our Company, Service is not just a duty; it is our ethos.
At our Company, Teamwork is ingrained in our DNA.
At our Company, Honesty is the guiding principle that defines us.
At our Company, Diversity is a cornerstone of our identity.
At our Company, Happiness is at the heart of our
company
culture.
#OK2
Vendor Marketing Finance Manager
Moraine, OH
Winsupply is in the business of creating and enabling entrepreneurs to achieve their dreams through wholesale distribution. Winsupply is a group of over 670 locally-owned companies that operate across a variety of industries, including HVAC, Plumbing, Electrical and more. The purpose of the support services campus is to eliminate obstacles and provide support to help our entrepreneurs succeed. Support service employees assist entrepreneurs in achieving their dreams through finance, accounting, IT, and other back-office operations.
Job Description
Winsupply Sourcing Services (WSS) operates ~2 million square feet of wholesale warehouse space, offering inventory and vendor management solutions to become the premier vendor partner for our customer base. Our customer base consists of aspiring entrepreneurs who own and operate their own wholesale distribution businesses, now over 670 businesses nationwide. Therefore, this job provides the opportunity to have a direct impact in the success of entrepreneurial small businesses across the United States, and in particular, those that rely on WSS to improve their inventory turnover. The role responsible for providing financial leadership, analysis, and strategic support. This role partners closely with preferred vendors on associated co-op and marketing funds, ensuring awareness of marketing funds and delivering a return on investment.
Key Job Responsibilities by Assigned Service Sector
Financial Reporting and Analysis
Partnering with Winsupply preferred vendors to consolidate, analysis, and reporting of marketing funds.
Develop, maintain, and communicate marketing financial performance reports by vendor and national program.
Supporting each location with financial support for marketing plans, while partnering directly with vendor on their national and regional strategic focus.
Analyze performance data, vendor investment, and campaign return-on-investment to drive continuous improvement.
Lead reporting for regular updates on funding status for senior executives at Winsupply Inc
Compliance and process controls
Deep understanding of the structure for each co-op or marketing program and the development of guidelines to access funds.
Lead support on spend compliance with vendor guidelines and contractual agreements.
Business Partnering
Act as the primary finance contact for CO-OP and Marketing funds with national vendor partners across Winsupply. Including the accurate billing, collections, and allocation of CO-OP and Marketing funds.
Support the Local Companies, Vendor Relations, and marketing team with financial insight, and spend optimization.
Partner with the vendors, accounting teams, and Information Technology to manage and report the status of co-op and marketing funds.
Lead the financial analysis, billing & support on contract compliance/ negotiations for sports sponsorships.
Other Duties as assigned
Compentencies for Success
Detail-oriented
Analytical/critical thinking
Data analysis
Effective Commuication
Customer-focused mindset
Deadline-driven
Qualifications
B.S. in Accounting, Finance, Business, or related field. In lieu of a degree, relevant experience is considered. CPA or CMA licensure is a plus; experience in the wholesale industry is a plus. Proficient with office technology/software.
Additional Information
Physical Demands
The physical demands here are representative of those that must be met to successfully perform the essential job functions with or without reasonable accommodations:
Sitting for extended periods of time.
Dexterity of hands and fingers to operate a computer keyboard, mouse, and other computer components.
Occasional travel to interact with local companies, regional offices and/or support implementation of solutions.
We are committed to inclusion, diversity, and equal employment opportunity, regardless of race, color, ancestry, religion, sex, gender, national origin, sexual orientation, age, citizenship, marital status, disability, veteran status, or any other factor protected by applicable federal, state, or local laws.