Controller
Finance manager job in Tampa, FL
Exciting Opportunity for a Skilled Controller at a Leading Manufacturing Firm Our Client, a rapidly expanding manufacturer specialising in aerospace and defence industries, is looking to recruit an experienced Controller to join their dynamic team. Renowned for fostering a culture of innovation and growth, they offer a collaborative environment where finance professionals can make a significant impact and drive strategic success. This is a fantastic opportunity to lead core financial operations within a forward-thinking organisation committed to excellence.
Role Overview
In response to continued growth and strategic initiatives, our Client is seeking a talented Controller to oversee their financial and accounting functions. This pivotal leadership position is designed for a experienced finance professional who can shape the company's financial health while supporting operational objectives. The ideal candidate will bring both technical prowess and strategic insight to ensure robust financial management within a fast-paced manufacturing setting.
Key Responsibilities
Lead and manage all essential accounting functions including accounts payable, receivable, payroll, cash management, and general ledger activities
Oversee the monthly, quarterly, and annual close processes, ensuring accurate and compliant financial statements in accordance with GAAP
Provide comprehensive analysis of financial statements, including balance sheets, income statements, and cash flows to inform business decisions
Drive cost accounting initiatives, inventory accuracy, and margin analysis; collaborate across departments to enhance ERP data accuracy, cycle counts, and scrap reduction strategies
Manage cash flow forecasting, banking relations, and borrowing base reporting to support liquidity needs
Lead the budgeting, forecasting, and variance analysis processes, advising leadership on operational and strategic planning
Coordinate external audits, ensuring compliance with all regulatory requirements including GAAP and ITAR
Support tax planning, compliance, and liaise with external advisors as needed
Identify and implement process improvements across accounting, reporting, and ERP workflows to optimise efficiency
Monitor key financial metrics, providing actionable insights and recommendations to drive performance and growth
Assist in capital investment evaluations, pricing strategies, and long-term planning discussions
Present financial insights and forecasts directly to executive leadership, supporting strategic decision-making
Essential Skills & Experience
Proven experience as a financial leader within a manufacturing environment, with a minimum of 8-12 years in progressive roles
Demonstrable expertise in GAAP, cost accounting, inventory management, and financial compliance standards
Hands-on experience with ERP systems such as Acumatica, NetSuite, SAP, or Infor
Strong analytical skills with advanced proficiency in Excel and financial modeling techniques
U.S. citizenship is essential due to aerospace and defence regulatory requirements
Excellent leadership capabilities with a results-driven approach and a focus on continuous improvement
Strong communication skills, with the ability to present complex financial data clearly and persuasively to senior stakeholders
Desirable Skills & Experience
Prior experience working within heavily regulated sectors such as aerospace or defence
Familiarity with ITAR compliance and related regulatory frameworks
Experience in strategic planning and long-term financial growth management
Proactive mindset with a focus on process optimisation and operational efficiency
How to Apply
If you possess the relevant expertise and are excited about making a meaningful contribution to a pioneering manufacturing organisation, we invite you to submit your CV for consideration. Join a company that values innovation, detailed financial stewardship, and leadership-your next career move awaits.
Accounts Payable Manager #974835
Finance manager job in Tampa, FL
Job Title: Accounts Payable Manager
Employment Type: Full-time
We are seeking a highly skilled Accounts Payable professional with expertise in hands-on ERP AP implementations or enhancements. This individual will play a critical role in leading AP operations, improving workflows, and ensuring high-quality execution of day-to-day AP activities within a large, complex corporate environment.
Key Responsibilities:
Execute and oversee invoice processing including:
Manual vendor invoice entry (FB60, MIRO).
Three-way match validation (PO, GR, Invoice).
Troubleshooting and resolving blocked or exception invoices.
Manage vendor master data, including:
Creating and updating vendor records (FK01, FK02).
Ensuring accurate payment terms, tax codes, and banking details.
Resolving duplicate or inaccurate vendor setups.
Perform payment processing activities:
Running payment proposals and payment runs (F110).
Managing ACH, wire transfers, and check disbursements.
Ensuring compliance with payment terms and cash flow policies.
Lead GR/IR reconciliation efforts, working with procurement and receiving to resolve discrepancies.
Execute AP reporting and month-end close responsibilities:
AP aging and open items reporting.
Accrual preparation and balance reconciliations.
Providing data for cash forecasting.
Ensure SOX compliance, workflow approvals, audit support, and appropriate segregation of duties.
Qualifications
Extensive hands-on experience with SAP AP operational processes (non-negotiable).
Demonstrated experience with SAP AP implementations, enhancements, or system upgrades.
Strong understanding of AP workflows within large corporate environments (ideally $1B+ revenue).
Leadership ability with a proven track record of:
Taking ownership of AP operations
Making decisions independently
Driving process improvements
Proficiency in invoice entry, workflow troubleshooting, vendor master maintenance, and GR/IR reconciliation.
Strong communication and stakeholder management skills.
Ability to operate effectively in a fast-paced, high-volume AP environment.
Work Environment
On-site 4 days per week in the Tampa office.
Healthcare Risk Manager
Finance manager job in Lakeland, FL
Details
This is Full-Time Benefit Eligible position working 80 hours per biweekly pay period.
Shift: Monday - Friday
Annual Salary: Min $73,840.00 Mid $92,310.40
Position Summary
Investigates and resolves incidents and grievances; secures evidence; creates and documents investigative files; resolves disputes/claims with patient and/or family members; resolves facility risk related issues; facilitates corrective action plans; trends and analyzes risk reports; assists with managing risk management incident reporting software, including the safekeeping of Patient Safety Work Product via the Patient Safety Organization. Initiates reports to insurance carrier and regulatory agencies; assesses damages and injury for claims, answers interrogatories and request to produce for claims, prepares staff for depositions and trials, and manages and coordinates claims with defense counsel. Identifies opportunities for the improvement of quality, safety and cost, as well as patient, customer, and employee satisfaction.
Position Responsibilities
People At The Heart Of All That We Do
Fosters an inclusive and engaged environment through teamwork and collaboration.
Ensures patients and families have the best possible experiences across the continuum of care.
Communicates appropriately with patients, families, team members, and our community in a manner that treasures all people as uniquely created.
Safety And Performance Improvement
Behaves in a mindful manner focused on self, patient, visitor, and team safety.
Demonstrates accountability and commitment to quality work.
Participates actively in process improvement and adoption of standard work.
Stewardship
Demonstrates responsible use of LRH's resources including people, finances, equipment and facilities.
Knows and adheres to organizational and department policies and procedures.
Standard Work Duties: Healthcare Risk Manager
Investigates and resolves incidents and grievances (including sexual misconduct allegations, and reports to appropriate regulatory agencies, when required); creates and documents investigative files; resolves disputes/claims with patient and/or family members; resolves facility risk related issues.
Monitors and manages legal claims with defense counsel, sets reserves, interviews person(s) involved in claims, assists with depositions and trials, answers interrogatories.
Assists with developing educational programs and learning modules for orientation and ongoing education, as well as upon request by various departments regarding risk topics.
Takes call evenings, nights, and holidays in rotation with other risk managers.
Assists with developing and/or reviewing policies and Standard Work.
Takes call evenings, nights, and holidays in rotation with other risk managers.
Assists with developing and/or reviewing policies and Standard Work.
Assists with managing Patient Safety Work Product via Patient Safety Organization
Conducts Serious Incident meetings and Root Cause Analyses; provides clinical and/or risk expertise to requested committees and process reviews, as needed.
Assists with managing risk management incident reporting software, including the safekeeping of Patient Safety Work Product via the Patient Safety Organization.
Stewardship
Demonstrates responsible use of LRH's resources including people, finances, equipment and facilities.
Knows and adheres to organizational and department policies and procedures.
People At The Heart Of All We Do
Fosters an inclusive and engaged environment through teamwork and collaboration.
Ensures patients and families have the best possible experiences across the continuum of care.
Communicates appropriately with patients, families, team members, and our community in a manner that treasures all people as uniquely created.
Guide Projects Using Acceptable Standards And ITIL Framework
Safety And Performance Improvement
Behaves in a mindful manner focused on self, patient, visitor, and team safety.
Demonstrates accountability and commitment to quality work.
Participates actively in process improvement and adoption of standard work.
Competencies & Skills
Essential:
Excellent verbal and written communications, analytical ability, and computer literacy.
Excellent presentation skills and organizational skills.
Claims handling skills which include dealing with difficult people, and assessing damage.
Excellent investigative skills.
Maturity, ethics, and strong negotiating skill
Conflict resolution skills
Qualifications & Experience
Essential: Bachelor Degree Nonessential: Master Degree
Experience Essential:
- Meets “Qualified Healthcare Risk Manager” competencies in accordance with Fla. Stat. 395.0197(2).
- Staff RN experience (in lieu of Staff RN experience, a candidate with at least 5 years' experience within a Healthcare Risk Management Department coupled with CPHRM certification will be considered).
Licenses Essential: Registered Nurse (in lieu of Registered Nurse license, a candidate with at least 5 years' experience within a Healthcare Risk Management Department coupled with CPHRM certification will be considered)
Experience Preferred: Previous management
Certifications Preferred: Certified Professional in Healthcare Risk Manager (CPHRM)
Risk Manager - Clinical Risk Management
Finance manager job in New Port Richey, FL
Join the team that is revolutionizing health care - BayCare Health System
Our network consists of 16 community-based hospitals, a long-term acute care facility, home health services, outpatient centers and thousands of physicians. With the support of more than 30,000 team members, we promote a forward-thinking philosophy that's built on a foundation of trust, dignity, respect, responsibility, and clinical excellence.
Title: Risk Manager - Clinical Risk Management
Facility: Morton Plant North Bay Hospital
Responsibilities:
Responsible for risk management activities, including event management, event analysis, risk assessments, risk education and regulatory readiness in the assigned facility/division.
Provides risk reduction recommendations to the organization.
Complies with the department policies and procedures.
May access patient medical records to perform job functions.
Supports physicians and facility leadership in the disclosure to patients and/or family of patients who are subject to an adverse event.
Investigates every allegation of sexual misconduct against team members with direct patient contact and reports such events to include, but not limited to, the Department of Health when applicable.
Through education and/or experience, the Risk Manager will demonstrate competencies required by Florida Statute.
BayCare offers a competitive total reward package including:
Benefits (Medical, Dental, Vision)
Paid Time Off
Tuition Assistance
401K Match and additional yearly contribution
Annual performance appraisals and team award bonus
Family resources and wellness opportunities
Community perks and discounts
Experience:
Required - 3 years' registered nurse
Education:
Required - Bachelor's Degree in nursing or related field
Preferred - Doctorate Juris Doctor
Certifications:
Preferred - CPHRM, CPSO, ARM, and CRM
Location: New Port Richey, Florida
Status: Full Time, Exempt: Yes
Shift Hours: 8:00AM - 5:00PM
Weekend Work: Occasional
Equal Opportunity Employer Veterans/Disabled
Director, Finance/Controller
Finance manager job in Tampa, FL
Requirements
To perform this job successfully, an individual must be able to perform each essential duty satisfactorily. The requirements listed below are representative of the knowledge, skills, and/or ability required. Reasonable accommodations may be made to enable individuals with disabilities to perform the essential functions.
EDUCATION and/or EXPERIENCE:
Excel working in a fast-paced, evolving environment and demonstrate the ability to embrace the FTB's commitment to treat all people with equity and respect in pursuit of our mission to feed people in need and mobilize our community to eliminate hunger
Bachelor's degree in Accounting or Finance
7+ years of accounting/finance experience, with 2+ years of supervisory experience.
Non-profit and/or manufacturing accounting experience preferred
Current working knowledge of GAAP
Ability to analyze financial data, develop reports, and make decisions based on data and GAAP
Strong computer skills, including Excel, Word, and database management and finance software programs
Ability to meet deadlines, organize, prioritize, and plan work activities using time efficiently
Ability to work with detail accurately while adhering to deadlines in a high-energy, fast-paced environment
Commitment to understanding and supporting FTB's mission and Grow Code
May be required to adjust work schedule to meet deadlines
Ability to safeguard and maintain the confidentiality of personnel information
Excellent written, oral, and interpersonal communication skills
Ability to understand and organize detailed information and possess attention to detai,l with the ability to solve problems and show initiative
Ability to juggle multiple projects with attention to detail and accuracy while adhering to deadlines in a high-energy, fast-paced environment
Exercise good judgment and discretion; strong ethical character capable of handling confidential information
Work closely with management to keep projects and tasks moving forward
Ability to prioritize and plan work activities and use time efficiently
Excellent oral and written communication skills with proactive customer service experience
Willing to be cross-trained to support corporate and community engagement team efforts, which may also include volunteering, food and fund drives, and delivery of community education and outreach programming
Director of Financial Reporting & Controller-570
Finance manager job in Tampa, FL
The Director of Financial Reporting and Controller serves as a senior leader within the Finance Division of the Hillsborough County Clerk of Court and Comptroller. This role oversees governmental accounting operations, internal controls, and financial reporting functions in accordance with Florida Statutes, GAAP, GASB, and requirements of the Florida Department of Financial Services. The position is responsible for ensuring accurate financial statements, supporting budget execution, maintaining accountability over public funds, and leading financial audits and reporting cycles.
SALARY RANGE: $114,795.20 - $144,560.00 annually
CORE COMPETENCIES
Customer Commitment
- Proactively seeks to understand the needs of our customers and provide the highest standards of service
Dedication to Professionalism and Integrity
- Demonstrates and promotes fair, honest, professional and ethical behaviors that establishes trust throughout the organization and with the public we serve
Organizational Excellence
- Takes ownership for excellence through one's personal effectiveness and dedication to the continuous improvement of our operations
Success through Teamwork
- Collaborates and builds partnerships through trust and the open exchange of diverse ideas and perspectives to achieve organizational goals
JOB SPECIFIC COMPETENCIES
Strong working knowledge of:
GASB and GAAP
Florida Statutes and constitutional officer responsibilities
Government fund accounting
Internal controls, grant compliance, and audit readiness
Proficient in ERP systems (Oracle) and Microsoft Excel.
Excellent leadership, communication, analytical, and organizational skills.
Knowledge of governmental accounting and auditing principles, practices, procedures, methods, and theory.
Knowledge of the specific accounting and reporting requirements and the complete accounting cycle of the organization to which assigned.
Knowledge of management methods, techniques, and practices.
Knowledge of budgetary procedures and controls.
Knowledge of computerized accounting systems.
Ability to establish and maintain effective working relations with others within and outside own organization.
Ability to schedule, assign, monitor, review and evaluate the work of assigned subordinates
REPRESENTATIVE DUTIES
Note: The following duties are illustrative and not exhaustive. The omission of specific statements of duties does not exclude them from the position if the work is similar, related, or a logical assignment to the position. Depending on assigned area of responsibility, incumbents in the position may perform one or more of the activities described below.
Audit & Internal Controls
Serve as the primary point of contact for external auditors (including the Florida Auditor General).
Oversee the preparation of audit schedules, responses to findings, and remediation efforts.
Develop and maintain internal controls to prevent fraud, waste, and abuse in accordance with internal audit and operational guidelines.
Financial Reporting & Compliance
Lead the preparation of the Annual Comprehensive Financial Report (ACFR) in compliance with GASB and Florida's Uniform Chart of Accounts.
Ensure financial reporting is accurate, timely, and aligned with Florida's constitutional and statutory requirements.
Coordinate with internal divisions and external agencies to compile and submit reports required by the Florida Department of Financial Services, Auditor General, and other oversight bodies.
Monitor and implement changes in accounting standards (GASB pronouncements) and ensure policy compliance.
Accounting Operations
Direct day-to-day accounting functions including general ledger, fund accounting, accounts receivable/payable, grants, and capital assets.
Oversee reconciliation of court and county funds, trust accounts, and operational accounts.
Ensure compliance with applicable laws and regulations governing public fund accounting and Clerk-related duties.
Leadership & Staff Development
Supervise accounting and reporting teams; recruit, train, and evaluate performance.
Promote a culture of integrity, transparency, and continuous improvement.
Collaborate with other divisions to ensure accurate financial and operational integration (e.g., Courts, Official Records, Human Resources, IT).
Budget Support & Strategic Planning
Support financial forecasting, fund balance analysis, and budget-to-actual tracking.
Collaborate with the Budget Office on long-range financial planning and special projects.
System & Process Improvements
Oversee the integrity and optimization of the financial management system (e.g., Tyler Munis or other ERP platforms).
Recommend and implement process improvements to increase efficiency and ensure compliance.
Performs other duties as needed, including those performed by subordinate fiscal, financial, and/or clerical staff.
MINIMUM EDUCATION AND EXPERIENCE REQUIREMENTS
Bachelor's degree in Accounting, Finance, or a related field. CPA designation is preferred. Master's degree or certifications such as CGFO, CPFO, or CGFM are desirable.
Minimum of 5 years of progressively responsible experience in governmental accounting or public sector finance. At least 3 years in a leadership or supervisory role. Experience with fund accounting, ACFR preparation, and audit coordination is required.
Please note that although a degree is preferred for this position, equivalent direct experience is also acceptable.
If you are substituting equivalent direct experience, it should be an appropriate combination of education, training, and direct experience that would reasonably provide the job-specific competencies mentioned above.
To complete your application, please attach a copy of your academic transcripts, diploma, or certifications showing that you have attained the minimum qualifications unless you are substituting equivalent direct experience for educational requirements.
The direct experience substitutions for a degree requirement must meet the following standards:
Two years of direct experience for an Associate's Degree
Four years of direct experience for a Bachelor's Degree
Six years of direct experience for a Master's Degree
Seven years of direct experience for a Professional Degree
Nine years of direct experience for a Doctoral Degree
Education substitution for experience:
If you are substituting education for the equivalent experience, it should be an appropriate combination of education and training that would reasonably provide the job-specific competencies mentioned above.
The education substitutions for the experience requirement must meet the following standards:
Associate's Degree for two years of direct experience
Bachelor's Degree for four years of direct experience
Master's Degree for six years of direct experience
Professional Degree for seven years of direct experience
Doctoral Degree for nine years of direct experience
CERTIFICATION, LICENSE AND SPECIAL REQUIREMENTS
Experience working within a Florida Clerk of Court or Comptroller's office.
Demonstrated ability to build effective teams and foster cross-functional collaboration.
Knowledge of court-related revenue sources, trust accounting, and reporting to state agencies.
PHYSICAL DEMANDS
The work is sedentary and requires exerting up to 10 pounds of force occasionally and/or negligible amount of force frequently or constantly to lift, carry, push, pull or otherwise move objects; may also require crouching, manual dexterity, hearing, kneeling, lifting, pulling, pushing, reaching, repetitive motion, speaking, standing, stooping, talking, visual acuity, and walking.
WORK ENVIRONMENT
Work is performed in a dynamic environment that requires incumbent to be sensitive to change and responsive to changing goals, priorities, and needs. This position is fully on-site and requires regular presence in the office.
May require extended hours during year-end closing, audits, or special projects.
JOB CLASS
Unclassified - At-will Employees who serve at the pleasure of the Clerk and do not have appeal rights should they be demoted, suspended, or terminated.
CAREER PATH
Director
Senior Director
Chief Financial Officer (CFO)
To perform this job successfully, an individual must be able to perform the essential job functions satisfactorily. Reasonable accommodations may be made to enable individuals with disabilities to perform the primary job functions described herein. Since every duty associated with this position may not be described herein, employees may be required to perform duties not specifically spelled out in the , but which may be reasonably considered to be incidental in the performing of their duties just as though they were actually written out in this job description.
Auto-ApplyDirector of Accounting & Financial Reporting
Finance manager job in Tampa, FL
Compensation: Up to $160,000 + Bonus
Are you a seasoned finance leader ready to make an impact? Our client is a growing, privately held organization with a strong foundation and ambitious plans for the future. We're looking for a Director of Accounting & Financial Reporting who thrives in a fast-paced environment where strategic vision meets hands-on execution. This is a high-visibility role that blends financial oversight, operational partnership, and executive-level influence. If you're passionate about driving process improvements, solving complex challenges, and creating long-term value, this opportunity is for you.
What You'll Do
Lead Accounting & Reporting: Oversee all accounting and financial reporting activities in compliance with GAAP.
Financial Planning: Drive FP&A initiatives, including KPI development, forecasting, and budgeting.
Executive Communication: Deliver clear, actionable insights and presentations to leadership and the Board.
Cash Flow & Treasury: Manage cash flow forecasting, credit facilities, and banking relationships.
Variance Analysis: Provide strategic recommendations based on financial performance trends.
Team Leadership: Mentor and develop the accounting team to ensure excellence and scalability.
Process Optimization: Implement improvements to enhance efficiency and accuracy across systems.
Internal Controls: Maintain strong controls for inventory costing and financial integrity.
Cross-Functional Collaboration: Partner with operations and other departments to align financial goals with business priorities.
What We're Looking For
Bachelor's degree in Accounting required; MBA a plus.
CPA strongly preferred.
15+ years of progressive accounting and finance leadership experience.
Manufacturing industry background required.
Proven FP&A expertise, including KPI development and forecasting.
Strong GAAP knowledge and advanced reporting skills.
High proficiency in Excel and strong systems aptitude.
Exceptional communication and presentation skills.
Why You'll Love It Here
Join a stable, growth-oriented organization with a collaborative culture.
Enjoy a role that combines strategic influence with hands-on leadership.
Work in an environment that values integrity, innovation, and continuous improvement.
Competitive compensation and bonus structure.
At Taylor White, we specialize in Accounting & Finance roles in Tampa Bay. Our industry knowledge, combined with our extensive recruiting experience, means we not only know what you're looking for...we know how to find it! For more information, please contact us via our website at ********************
INDHP
JOB#22624
Regional Controller - Southeast
Finance manager job in Tampa, FL
Overall Role & Responsibilities: * Serve as the Finance and Accounting leader for the Atlanta and Florida business units within the Southeast region. * Develop, analyze, and present financial results and projections for assigned business units. * Be a strategic business partner to Regional Leaders, Business Unit Leaders, and their core teams.
* Report timely and accurate information to Finance leadership, to include the CFO.
* Evaluate projects for risks and opportunities to inform financial positions, supporting to resolution as appropriate.
* Lead the annual 2-Year Business Planning and long-range financial planning processes.
* Proactively manage financial risk; ensure compliance with accounting policies, procedures, and internal controls.
* Lead project accounting function for assigned business units.
* Collaborate and coordinate with fellow Regional Controller(s), SPW (Self-Perform Work) Controller(s), and Assistant Controller(s) as well as entity Controllers from the DPR Family of Companies.
* Advance/lead initiatives supporting companywide improvements.
Specific Areas of Focus:
Finance
* Prepare and present monthly financial packages, forecasts, and business plans.
* Monitor trends, investigating and analyzing findings.
* Lead/participate in periodic detailed reviews of focus areas, such as overhead costs, labor rates, insurance programs, and billing positions.
* Review and analyze project-level monthly status reports, interacting with project teams and sharing observations with leaders to include risks/reserves not reported or needed based on experience.
* Provide decision support, identifying and bringing forward opportunities to support achieving business targets with strong financial results.
Accounting
* Responsible for project accountants' performance and career development.
* Identify topics and issues that need to be communicated with adjacent groups.
* Drive billing and job cost accounting best practices.
* Follow up with project teams and accountants on timeliness of billings and collections.
* Oversee overall cash flow/position for each project and implement corrective action as needed.
* Collaborate with Shared Services to monitor cash receipts and disbursements for assigned business units.
* Ensure financial statements are prepared in accordance with GAAP and technical accounting policies.
* Support various audits.
* Manage credit and subcontractor risks in partnership with national Finance & Accounting, Risk Management, and Prequalification work groups.
General
* Self-starter, takes ownership and follows through
* Provides regular and thorough communication, while balancing listening
* Comfortable synthesizing and presenting data and insights to various audiences with presence
* Focused on building strong working relationships and creating a positive work environment
* Demonstrates strong organizational skills, planning ahead and managing time efficiently
* Exhibits a strong business intuition, providing critical thinking with problem solving skills using research and analytics; able to get further upstream (proactive about identifying trends, issues, troubleshooting, etc.)
* Astutely flexes between a hands-on strong attention to detail and a big picture strategic view
* Embraces and embodies our culture of Integrity, Enjoyment, Uniqueness, and Ever Forward
* Flexibility to travel and be in office or on jobsite periodically as planned
Education/Experience Requirements
* Minimum of 10 years practicing accounting and financial planning and analysis
* BS in Accounting, Finance, or related field; CPA or MBA preferred
* Experience with developing and leading high-performing teams
* Construction or manufacturing industry experience, to include a solid understanding of relevant methods of accounting
* Proficiency with accounting and finance software applications; Oracle EPM or CMiC a plus
DPR Construction is a forward-thinking, self-performing general contractor specializing in technically complex and sustainable projects for the advanced technology, life sciences, healthcare, higher education and commercial markets. Founded in 1990, DPR is a great story of entrepreneurial success as a private, employee-owned company that has grown into a multi-billion-dollar family of companies with offices around the world.
Working at DPR, you'll have the chance to try new things, explore unique paths and shape your future. Here, we build opportunity together-by harnessing our talents, enabling curiosity and pursuing our collective ambition to make the best ideas happen. We are proud to be recognized as a great place to work by our talented teammates and leading news organizations like U.S. News and World Report, Forbes, Fast Company and Newsweek.
Explore our open opportunities at ********************
Auto-ApplyAmericas Cash Operations - Control Manager Lead - Vice President
Finance manager job in Tampa, FL
Join our Americas Cash Operations team and help shape the future of Payment Operations. You'll play a key role in strengthening our risk and control environment, collaborating with partners across the business, and making a meaningful impact on operational resiliency and regulatory compliance.
As an Americas Cash Operations - Control Manager Lead - Vice President in Payment Operations, you will drive risk and control management across multiple locations, ensuring robust operational controls and regulatory compliance. You'll collaborate with global teams, support strategic initiatives, and help build a resilient, data-driven control environment. Your work will influence operational improvements and provide significant exposure to senior stakeholders.
**Job Responsibilities**
+ Establish and maintain effective risk and control frameworks for Americas and Global Cash Operations
+ Ensure regulatory compliance and audit readiness across operational processes
+ Build strong partnerships with Internal Audit, Compliance (CCOR), Testing Center of Excellence, Product, Technology, and Finance teams
+ Support the Global Command Center with resiliency model requirements and regulatory needs
+ Oversee change management, strategic project controls, and process reviews
+ Conduct root cause analysis and implement preventive actions for control issues
+ Coordinate internal audits, CCOR assessments, TCoE evaluations, and regulatory examinations
+ Support data taxonomy mapping and align with Payment Controls strategic initiatives
+ Ensure adequacy and testing of business resiliency plans in line with CIB Resiliency guidelines
+ Participate in global and regional control projects to drive operational improvements
+ Deliver periodic control reporting to senior stakeholders
**Required Qualifications, Capabilities, and Skills**
+ Demonstrated leadership capabilities with credibility at senior levels
+ Strong competency in data tools and analytical applications
+ Ability to assess complex business products and identify control issues
+ Familiarity with Payment Operations and Treasury Services product sets
+ Exceptional interpersonal skills in data presentation, influencing, and negotiation
+ Superior verbal and presentation communication abilities
+ Strong prioritization, decision-making, and organizational skills
+ Diligent, confident, and self-motivated; able to work independently and collaboratively
**Preferred Qualifications, Capabilities, and Skills**
+ People management experience
+ Experience leading strategic operations projects on a global scale
+ Adaptability and analytical thinking with a questioning mindset
+ Experience supporting business resiliency and continuity planning
+ Exposure to regulatory examination engagement
+ Experience with data taxonomy mapping and strategic control initiatives
+ Prior involvement in Payment Controls or similar risk management programs
JPMorganChase, one of the oldest financial institutions, offers innovative financial solutions to millions of consumers, small businesses and many of the world's most prominent corporate, institutional and government clients under the J.P. Morgan and Chase brands. Our history spans over 200 years and today we are a leader in investment banking, consumer and small business banking, commercial banking, financial transaction processing and asset management.
We offer a competitive total rewards package including base salary determined based on the role, experience, skill set and location. Those in eligible roles may receive commission-based pay and/or discretionary incentive compensation, paid in the form of cash and/or forfeitable equity, awarded in recognition of individual achievements and contributions. We also offer a range of benefits and programs to meet employee needs, based on eligibility. These benefits include comprehensive health care coverage, on-site health and wellness centers, a retirement savings plan, backup childcare, tuition reimbursement, mental health support, financial coaching and more. Additional details about total compensation and benefits will be provided during the hiring process.
We recognize that our people are our strength and the diverse talents they bring to our global workforce are directly linked to our success. We are an equal opportunity employer and place a high value on diversity and inclusion at our company. We do not discriminate on the basis of any protected attribute, including race, religion, color, national origin, gender, sexual orientation, gender identity, gender expression, age, marital or veteran status, pregnancy or disability, or any other basis protected under applicable law. We also make reasonable accommodations for applicants' and employees' religious practices and beliefs, as well as mental health or physical disability needs. Visit our FAQs for more information about requesting an accommodation.
JPMorgan Chase & Co. is an Equal Opportunity Employer, including Disability/Veterans
Receivables and Payables Financing Operations, Analyst
Finance manager job in Tampa, FL
Do you want your voice heard and your actions to count? Discover your opportunity with Mitsubishi UFJ Financial Group (MUFG), one of the world's leading financial groups. Across the globe, we're 120,000 colleagues, striving to make a difference for every client, organization, and community we serve. We stand for our values, building long-term relationships, serving society, and fostering shared and sustainable growth for a better world.
With a vision to be the world's most trusted financial group, it's part of our culture to put people first, listen to new and diverse ideas and collaborate toward greater innovation, speed and agility. This means investing in talent, technologies, and tools that empower you to own your career.
Join MUFG, where being inspired is expected and making a meaningful impact is rewarded.
The selected colleague will work at an MUFG office or client sites four days per week and work remotely one day. A member of our recruitment team will provide more details.
The incumbent is responsible for supervising and checking all daily back office operations of the Supply Chain Finance(SCF)
Unit The Officer is expected to:
* Ensure prompt review and monitoring of workflows of the Unit, assist VP in running daily operations and controls, and ensure timely release of transactions
* Ensure accurate processing of transactions and proper booking of exposure and release of payment
* Ensure the instructions from front/middle offices and Standard Operating procedures are properly executed in accordance along with Standard Service Level Agreement.
* Enforcement of all operational procedures and controls. To assist the Section and department in achieving its goals.
The incumbent is assigned the following Functions:
* Workflow Management: Monitor the daily operations of the Supply Chain Finance Section and workflow supervision. Assign work to affected staff members, setting priorities, time limits and critical task objective. Ensure output satisfies corresponding process requirements and priorities. Reconcile and account for all incoming items/work and 'processed output' in accordance with established procedures and controls. Review and oversee pending transactions, documents, discrepancies, overdue and/or delinquent transactions, section's output reports, records and files. Ensure all standard operational and compliance procedures are updated and enforced. Provide timely support to new business initiatives of all SCF transactions. Coordinate and ensure all Supply Chain Financing transactions are processed, released and reconciled promptly against front office instructions and System of record.
* Verification: Review transaction processing and pending Queues in various systems and ensuring that all transactions are processed and releases as requested. Any pending or unreleased transactions should be reviewed and escalated as appropriate
* Quality Control and Customer Service: Provide technical support and guidance to staff members, Account Officers, Middle Office, all US branches and Customers on SCFs. Extensive internal customer contact relating to review SCF transaction terms and conditions and offer opinions and comments consistent with the internal/operating/Compliance procedures. Respond to inquiries received from front/middle offices, internal auditors and correspondent banks, providing the accurate and timely information in resolution of such queries. Identify discrepancies and/or inefficiencies in customer support efforts and ensure that they are corrected, documented and implemented Assist the Manager (or the Management) in identifying risk areas and implement/monitor practices to reduce and/or prevent risk opportunities. Update procedures as and when changes to workflow process, system enhancements and internal controls are effected.
* Compliance: Enforce bank's compliance policies and procedures. Ensure implementation of all compliance regulations including OFAC/BSA/AML/JFEL//Anti-boycott regulations in the Section's operations. Ensure the Staff receives proper training in all regulatory and bank compliance issues. Enforce applicable internal and H.O operational procedures.
* Special projects: Handle Special investigations, reports and assignments to support department Management's goal.
QUALIFICATIONS:
* Minimum 2 years of experience in a banking environment with ability to supervise and guide staff, customers and relationship managers on technical and operational matters.
* Ability to support and provide team work with focus on quality and prompt customer service.
* Strong inter-personal skills, verbal and written communication skills and ability to work in an automated system environment are required.
* Knowledge and experience of Supply Chain or Receivable Financing is preferred
* College Degree is a plus which can be supplemented by relevant experience. Certificate or courses or any specialized training/exposure in International Trade, Trade and Commodity and Supply Chain Financing is a plus
The typical base pay range for this role is between $65K- $85K depending on job-related knowledge, skills, experience and location. Additionally, our Total Rewards program provides colleagues with a competitive benefits package (in accordance with the eligibility requirements and respective terms of each) that includes comprehensive health and wellness benefits, retirement plans, educational assistance and training programs, income replacement for qualified employees with disabilities, paid maternity and parental bonding leave, and paid vacation, sick days, and holidays.
MUFG Benefits Summary
We will consider for employment all qualified applicants, including those with criminal histories, in a manner consistent with the requirements of applicable state and local laws (including (i) the San Francisco Fair Chance Ordinance, (ii) the City of Los Angeles' Fair Chance Initiative for Hiring Ordinance, (iii) the Los Angeles County Fair Chance Ordinance, and (iv) the California Fair Chance Act) to the extent that (a) an applicant is not subject to a statutory disqualification pursuant to Section 3(a)(39) of the Securities and Exchange Act of 1934 or Section 8a(2) or 8a(3) of the Commodity Exchange Act, and (b) they do not conflict with the background screening requirements of the Financial Industry Regulatory Authority (FINRA) and the National Futures Association (NFA). The major responsibilities listed above are the material job duties of this role for which the Company reasonably believes that criminal history may have a direct, adverse and negative relationship potentially resulting in the withdrawal of conditional offer of employment, if any.
The above statements are intended to describe the general nature and level of work being performed. They are not intended to be construed as an exhaustive list of all responsibilities duties and skills required of personnel so classified.
We are proud to be an Equal Opportunity Employer and committed to leveraging the diverse backgrounds, perspectives and experience of our workforce to create opportunities for our colleagues and our business. We do not discriminate on the basis of race, color, national origin, religion, gender expression, gender identity, sex, age, ancestry, marital status, protected veteran and military status, disability, medical condition, sexual orientation, genetic information, or any other status of an individual or that individual's associates or relatives that is protected under applicable federal, state, or local law.
Auto-ApplyOperations Financial Analyst
Finance manager job in Clearwater, FL
Operations Financial Analyst (OFA)
About PURIS:
PURIS Corp. and our family of companies operate across all 50 states and Canada with 900+ employees dedicated to environmental sustainability and smart and sustainable resource management. We provide trenchless pipe rehabilitation solutions and technology to municipal water, wastewater, and storm water markets. We are the largest independent provider with the broadest range of trenchless technologies and services operating in a market that is increasingly adopting trenchless solutions for its cost, time, and environmental efficiencies.
Essential Job Accountabilities:
Provide financial and analytical support to Operations Finance Manager (OFM) including consolidation of financial reports, financial analysis, and other related financial reporting
Provide accounting support during the month end financial close process including the review of invoices, payroll, inventory, journal entries, account reconciliations, and accruals per US GAAP compliance.
Prepare, review, and post journal entries
Monitor accounts payable, and accounts receivable aged balances
Monitor project and cost tracker setup and compliance
Assist with purchase order reconciliation
Help prepare operations budgets and forecasts
Work with various functions (payroll, accounts payable, accounts receivable, subcontract/contract administration, billings, equipment reporting, etc.) to obtain an understanding and mastery of daily, weekly, and monthly operational finance tasks and responsibilities.
Assist with internal and external audits and ensure that established internal controls are followed to maintain compliance with Company's policies and procedures.
Education:
Bachelor's degree in business administration, Finance, Accounting, or related field required.
Knowledge, skills, and abilities:
1 - 2 years of experience in Budget/Finance, Financial Reporting or Accounting.
Experience in business and accounting related functions, preferably in the heavy-civil construction and construction materials industry, a plus
Advanced Excel functionality (pivot tables, functions, lookups, etc.), and advanced writing and communication skills
Sense of urgency and ability to work under pressure and analyze problems/issues with a root cause approach.
Basic familiarity with GAAP standards, WIP reporting, and ERP systems like Acumatica, NetSuite, E1, etc., a plus.
Benefits:
Comprehensive and competitive benefits package that includes medical/Rx, dental, vision, critical illness and accident insurance, and short-term disability.
Several 100% company-paid benefits including:
Life Insurance
Long-term disability
Employee assistance program
Bonus program
401(k) savings plan with company match
Generous PTO
10 paid holidays
Tuition reimbursement
Equal Opportunity/Veterans/Disabled.
Auto-ApplyAnalyst - Finance
Finance manager job in Clearwater, FL
Job Title: Analyst - Finance Reports To: Manager - Store Finance Division: SalonCentric FLSA: Exempt About Us: SalonCentric, a subsidiary of L'Oréal USA, is the premiere distributor in the United States of salon professional products. Through its hundreds of stores, national field sales force and sub-distribution network, SalonCentric promotes the finest professional beauty brands and educates stylists on the latest products and trends.
Position Summary:
SalonCentric is looking for a Financial Analyst to support our OMNI Sales Channel. This position offers an opportunity to dive deep into financial operations, focusing on accounting, analysis, and reporting that drives strategic decisions. If you thrive in a fast-paced, challenging environment with opportunities for professional growth and development, and possess a keen eye for detail and strong communication skills, we encourage you to apply.
Position Responsibilities:
* Participate in the month-end close process.
* Support the development and consolidation of the annual budget and forecasting process.
* Provide oversight for key operational budgets.
* Conduct thorough variance analysis for assigned P&L accounts and cost centers, identify trends, investigate discrepancies, and provide actionable insights.
* Develop, maintain, and enhance financial reports and models to provide critical data and support strategic decision-making.
* Provide dedicated financial support and expertise to operating departments, helping them understand performance to achieve financial goals.
* Confidently present financial findings, analysis, and recommendations to senior leadership, clearly communicating complex information and insights.
* Maintain and enforce strong internal controls.
* Lead or contribute to special projects and ad hoc analyses as assigned.
* Collaborate effectively as a strong team player, contributing to a positive and productive Finance department culture.
Qualifications:
* Bachelor's Degree in Finance, Accounting, or a related quantitative field.
* Experience in financial modeling, planning, and analysis.
* Demonstrated proficiency with Microsoft Excel (e.g., pivot tables, VLOOKUPs, advanced formulas) and PowerPoint.
* Strong analytical and problem-solving skills with meticulous attention to detail.
* Ability to manage multiple tasks, prioritize effectively, and meet deadlines in a dynamic, fast-paced environment.
* Excellent verbal and written communication skills, with the ability to present complex financial information clearly and concisely.
* SAP experience preferred.
* Retail experience a plus.
* Experience with PowerBI, SQL and Visual Basic a plus.
* Must have long-term authorization to work in the U.S.
Location:
5380 Tech Data Drive Clearwater, Fl 33760: The National Operating Center (NOC)
What's In It For You:
* Competitive base salary + bonus
* Competitive Benefit Package (Medical, Dental, Vision, 401K + match)
* Free Goods and Discounts for items under the SalonCentric and L'Oréal Brands
* Flexible Time Off (Paid Company Holidays, Paid Vacation, Volunteer Time, Summer Fridays & More)
* Learning & Development Opportunities for Career Progression
* Employee Resource Groups
* Access to Mental Health & Wellness Programs
Our Diversity and Inclusion Pillars
We are committed to developing an atmosphere where every member of our Beauty Community feels included, valued, and empowered, and where we can all share, learn, grow and thrive. We do this by supporting social, environmental and economic causes that support the entire professional beauty industry and our Beauty Community.
To learn more about the position and what the company is up to, please follow us on:
INSTAGRAM | FACEBOOK | YOUTUBE | TWITTER | PINTEREST | PERISCOPE
SALON CENTRIC IS AN EQUAL OPPORTUNITY EMPLOYER AND AFFORDS EQUAL OPPORTUNITY TO ALL APPLICANTS FOR ALL POSITIONS WITHOUT REGARD TO RACE, COLOR, RELIGION, GENDER (INCLUDING PREGNANCY), NATIONAL ORIGIN, AGE, DISABILITY, VETERAN STATUS, SEXUAL ORIENTATION OR ANY OTHER STATUS PROTECTED UNDER LOCAL, STATE OR FEDERAL LAWS.
Financial Analyst
Finance manager job in Clearwater, FL
About Us: Murphy Business & Financial Corporation is a leading firm specializing in business brokerage and financial services. With a dedicated team of 15 professionals, we provide expert guidance and innovative solutions to our clients in the financial sector. We are committed to fostering a collaborative and dynamic work environment.
Responsibilities:
Conduct detailed financial analysis to support business decisions and strategic planning.
Prepare and present financial reports, forecasts, and budgets to management.
Analyze market trends and financial data to identify opportunities for growth and improvement.
Collaborate with cross-functional teams to develop financial models and projections.
Monitor key performance indicators (KPIs) and provide actionable insights to optimize financial performance.
Assist in the preparation of financial statements and ensure compliance with regulatory requirements.
Support the development and implementation of financial policies and procedures.
Requirements:
Bachelor's degree in Finance, Accounting, or a related field.
Proven experience as a Financial Analyst or similar role.
Strong proficiency in financial modeling and forecasting techniques.
Excellent analytical skills with the ability to interpret complex financial data.
Proficient in Microsoft Excel and financial software applications.
Strong communication and presentation skills.
Attention to detail and ability to work under tight deadlines.
Knowledge of industry regulations and compliance standards is a plus.
Benefits:
Comprehensive health benefits and retirement plans.
Professional development and training opportunities.
A supportive and collaborative team environment.
Financial Analyst
Finance manager job in Saint Petersburg, FL
Company: S.S. White Technologies Inc Location: 8300 Sheen Drive, St. Petersburg, FL 33709 Job Type: Full-time, Regular Business Hours: 8:00 AM - 4:30 PM, Monday - Friday Experience Level: 3+ Years of Experience Number of Openings: 1
Responsibilities:
Perform all financial functions associated with assigned Corporate Balance Sheet accounts, including month end closing, estimate and budgetary processes
Reconcile and analyze assigned balance sheet accounts
Perform certain expense allocations to divisions
Prepare year-end audit support
Provide financial and accounting guidance and support to various Corporate departments as needed
Perform variance analyses and prepare other ad hoc analyses as requested
Assist with special projects
Qualifications:
Minimum educational level: Bachelor's degree in Accounting or Finance, CPA is a plus
3+ years of experience in a corporate environment
Great sense of urgency and the ability to manage multiple deadlines and priorities
Great attention to detail
Ethical and responsible
Benefits:
A positive and family-oriented culture
Medical insurance, dental insurance and Long-Term-Disability insurance with company co-payment; Life insurance paid 100% by the company; Vision insurance.
401 (k) plan with company matching.
Work visa sponsorship.
Who are we? Our Company, S.S. White Technologies Inc., is an internationally renowned manufacturer of aerospace, automotive and orthopedic surgical tools. Founded in 1844, we are one of the oldest manufacturing companies in the United States. Our Company's products are displayed in Smithsonian. S.S. White products are used in 98% of aircraft flying today, numerous surgical instruments, cutting edge industrial applications, millions of automobiles, on the space station and have even gone to the moon!We are a privately-owned global company with manufacturing facilities in the US, UK, and India. Today, under the leadership of our President/CEO Rahul Shukla, S.S. White is known as the number one technological leader in the world for flexible shaft products.For more information about our Company and our culture: Coverage about Mr. Rahul Shukla, Fun things at S.S. White.
Our Team: We have a reputation for being an innovative, honest and progressive company that deeply cares for its employees. At S.S. White, we believe that our success is a testament to the commitment and excellence of our team. We are a group of hard-working, honest, ethical and fun-loving people. We believe in working hard and playing hard.
Are you the person we are looking for? Apart from the superb professional qualifications and the outstanding achievements, we are looking for fun-loving people with interesting hobbies. If you think you fit this profile, please write to an email. Tell us why we should hire you. Tell us something interesting about you that is relatively unique, something that shows us you are fun and interesting and an original thinker.
S.S. White is an EEOC compliant employer
Financial Analyst (FP&A)
Finance manager job in Clearwater, FL
About the role:
As a Financial Analyst at our dynamic organization, you'll play a key role in providing analytical support to a specific functional area, department, or division. Your responsibilities will include developing and maintaining reporting for your assigned area, preparing and analyzing ad hoc operational performance reports, and recommending appropriate courses of action. We're seeking a motivated individual passionate about accounting and financial reporting, eager to excel in our fast-paced, dynamic environment.
This role sits on a newly centralized Operational Goaling team within Compensation, Payroll & Goaling, consolidating goaling across Sales and Product Management (PM) and supporting incentive compensation analytics.
What you'll do:
Generate and analyze monthly, quarterly, and annual reports, ensuring accurate financial information based on business unit requirements.
Maintain reporting and dashboards using Power BI and Excel; pull and validate data from internal systems/BI to support goaling and performance reporting.
Process SPIFF incentive compensation for business (in partnership with Compensation/Payroll and aligned to goaling).
Collaborate cross-functionally to meet ad hoc needs of the business and finance organization.
Respond to ad-hoc information requests from internal customers and others as assigned.
Translate financial information effectively to colleagues with various skillsets and departments.
Communicate clearly with executive stakeholders on goals, performance vs. goals, and compensation impacts.
Evaluate the financial impact of implemented initiatives across business units and within the finance organization.
Provide ad hoc deliverables for internal and external audit.
Own operational goaling across Sales and PM: validate inputs, load monthly goals on a quarterly schedule, analyze exceptions impacting incentive compensation, communicate updates, and standardize processes.
Maintain punctuality and attendance standards in our professional office environment.
Be open to occasional non-standard work hours or overtime as required.
Perform additional duties as assigned.
What we're looking for:
1 - 2 years' experience necessary.
Open to new graduates in Finance/Accounting; internship/co‑op experience welcome.
Bachelor's Degree required.
Finance or Accounting preferred; other business disciplines considered with relevant finance experience.
Intermediate Excel skills (e.g., PivotTables, VLOOKUP/XLOOKUP; strong attention to detail and data accuracy) required.
Experience with Power BI (building and/or maintaining reports/dashboards) strongly preferred.
SAP Cloud knowledge a plus, but not required.
Comfort working with large datasets across multiple systems; ERP experience (e.g., SAP) a plus.
Ability to execute instructions and request clarification when needed.
Basic clerical and data entry skills.
Proficiency in performing basic mathematical calculations.
Clear communication skills for conveying necessary information.
Comfortable communicating with executive stakeholders; maintains discretion with compensation-related topics.
Commitment to maintaining social, ethical, and organizational standards in conducting business activities.
Ability to build effective working relationships.
Quick learner of new systems and technology.
Basic level proficiency in using relevant computer system applications.
Working Conditions:
Professional, office environment.
Hybrid work model: 3 days in office, 2 days remote
Key Skills
At TD SYNNEX, our values guide everything we do: Together, We Own It, We Dare to Go, We Grow and Win, and above all, We Do the Right Thing. These principles shape how we work with each other, our partners, and our communities as we drive innovation and create lasting impact.
What's In It For You?
Elective Benefits: Our programs are tailored to your country to best accommodate your lifestyle.
Grow Your Career: Accelerate your path to success (and keep up with the future) with formal programs on leadership and professional development, and many more on-demand courses.
Elevate Your Personal Well-Being: Boost your financial, physical, and mental well-being through seminars, events, and our global Life Empowerment Assistance Program.
Diversity, Equity & Inclusion: It's not just a phrase to us; valuing every voice is how we succeed. Join us in celebrating our global diversity through inclusive education, meaningful peer-to-peer conversations, and equitable growth and development opportunities.
Make the Most of our Global Organization: Network with other new co-workers within your first 30 days through our onboarding program.
Connect with Your Community: Participate in internal, peer-led inclusive communities and activities, including business resource groups, local volunteering events, and more environmental and social initiatives.
Don't meet every single requirement? Apply anyway.
At TD SYNNEX, we're proud to be recognized as a great place to work and a leader in the promotion and practice of diversity, equity and inclusion. If you're excited about working for our company and believe you're a good fit for this role, we encourage you to apply. You may be exactly the person we're looking for!
We are an equal opportunity employer and committed to building a team that represents and empowers a variety of backgrounds, perspectives, and skills. All qualified applicants will receive consideration for employment without regard to race, color, religion, national origin, gender, gender identity or expression, sexual orientation, protected veteran status, disability, genetics, age, or any other characteristic protected by law.
TD SYNNEX is an E-Verify company
Auto-ApplyFinancial Analyst, IT
Finance manager job in Tampa, FL
Make a Difference in YOUR Career! Our vision is both simple and ambitious: to put our drinks on every table. We are the leading global independent beverage solutions provider. We serve a broad range of national and international retailers as well as Global, National and Emerging (GNE) brands. Our products are distributed worldwide from our production sites in Europe, North America, and Australia. Although our own branding may not appear on the labels of the beverages we produce, there is a good chance you are reading this while sipping one of our drinks.
Our ambition is to continually improve and it's what keeps us at the top of our game. We are solutions-based. We are innovative. We seek out new challenges and conquer them. This is our company ethos, but it's our people's too: Refresco is at the cutting edge of a fast-moving industry because we have passionate people pushing the boundaries of what's best.
Stop and think: how would YOU put our drinks on every table?
Position Description
The Financial Analyst, IT will be responsible for accounting, financial analysis, contract submissions, and process/control improvements in support of the Information Systems and IT Business Systems. The position requires strong critical thinking and analytical skill, and the ability to collaborate across teams and levels of management. This position reports into the Manager of IT Finance, who is a member of Refresco North America's Information Systems department. This role provides opportunities to work in a dynamic and results-driven work environment and to build relationships with cross-functional teams across the network. Ideal candidates will embrace a growth mindset, focused on continuous improvement, and a strong commitment for compliance to policy.
Essential Functions:
This position will work with the senior financial analyst and manager to perform the following responsibilities:
* Process IT procurement requests submitted through the IT Services Management system (EasyVista/Xurrent)
* Create purchase orders for IT equipment and services in accordance with company policies
* Collaborate with IT Technical Service Analysts to validate requirements and ensure accurate order processing
* Coordinate with vendors for quotes, delivery timelines, and issue resolution
* Work closely with Accounts Payable (AP) to ensure timely invoice processing and payment within OpenText
* Assist in the preparation of quarterly and balance of year forecasts, and prepare supporting schedules for each IT Cost Center at the GL line-item level
* Work with IT Management on the submission and routing of contract requests in accordance with Refresco's Contract Management Policy; this involves follow-up and seeking key personnel approvals per the Delegation of Authority
* Draft and submit capital expenditure requests for IT Initiatives
* Prepare ad hoc reports upon request
* Other tasks as assigned
Required Skills and Competencies:
* Ability to utilize SAP and Excel to navigate through large data sets and summarize findings with strong analytical and financial modeling skills
* Strong understanding of fundamental accounting principles and Internal Controls
* Knowledge of IT financial management principles and cost allocation methods
* Ability to provide fact-based recommendations across various levels of management
* Effective written and oral communication skills
* Self-starter with strong time management skills, task prioritization, and attention to detail
* Ability to work independently, balance multiple tasks with changing priorities, work in a fast-paced environment, concisely summarize ideas, and provide solutions
* Ability to work in a global business environment
Education and Experience:
* S. / B.A. degree in Finance or Accounting preferred or related experience.
* Must be permanently authorized to work in the United States now and in the future without sponsorship.
* Two or more years of relevant finance experience and/or manufacturing preferred. Experience working with IT or in an IT-related industry a plus.
* SAP experience highly desirable.
* Experience working with ITSM tools (e.g. Xurrent or EasyVista) and procurement workflows preferred.
Working Conditions:
* Physical Demands- Continuously sitting for prolonged periods, as the job is administrative in nature.
* Visual/Sensory - This position requires attention to detail, requiring attention with one or two senses at a time.
* Work environment - Work and environment fasted paced, requiring ability to remain focused under pressure.
* Mental Stress - There is pronounced pressure from deadlines, project management, accuracy or similar demands.
Travel Requirements:
* Based in Tampa corporate office with minimal travel requirements.
Physical Requirements:
R = Rarely (0-15%) O = Occasionally (16-45%) F = Frequently (46-100%)
Physical Demand
R
O
F
Stand or Sit
X
Stoop, kneel, crouch, or crawl
X
Lifting or Carrying up to _20__ lbs. (minimum lbs lifted _5__ lbs)
X
Walking
X
Driving
X
Climb (stairs/ladders) or balance
X
* Visual/Sensory - This position requires attention to detail, requiring attention with one or two senses at a time.
Other Duties:
* This job description is not designed to cover or contain a comprehensive listing of activities, duties or responsibilities that are required of the employee. Duties, responsibilities, and activities may change, or new ones may be assigned at any time with or without notice.
A Career with Refresco
Refresco Beverages US Inc. offers the following competitive pay and comprehensive benefits:
* Medical/Dental/Vision Insurance
* Health Savings Accounts and Flexible Spending Accounts
* Life and AD&D Insurance, critical illness, hospital indemnity, and accident insurance
* Short-term disability and long-term disability
* Pet Insurance
* Legal Benefits
* 401(k) Savings Plan with Company Match
* 12 Paid Holidays
* Vacation Days and Paid Sick Time Off Days
* Well-being Benefit
* Discount and Total Reward Programs
Join Refresco TODAY and enjoy a rewarding CAREER!
Any employment agency, person, or entity that submits a résumé to this career site or a hiring manager does so with the understanding that the applicant's résumé will become the property of Refresco Beverages US, Inc. Refresco Beverages, US Inc., will have the right to hire that applicant at its discretion without any fee owed to the submitting employment agency, person, or entity.
Employment agencies that have agreements with Refresco Beverages US, Inc., and have been engaged in a search shall submit a résumé to the designated Refresco recruiter or, upon authorization, submit a résumé to this career site to be eligible for placement fees.
Refresco Beverages US Inc. is an Equal Opportunity Employer. All qualified applicants will receive consideration for employment without regard to race, color, ancestry, religion, sex, national origin, sexual orientation, age, marital status, disability, gender identity, gender expression, Veteran status, or any other classification protected by federal, state, or local law.
Financial Analyst
Finance manager job in Saint Petersburg, FL
JOIN A LEADING HEALTHCARE COMPANY
Curant Health is searching for a Financial Analyst (Data) to join its team in Smyrna, GA.
This role is in support of the Curaltyics financial reporting process to clinic partners and linkage to the monthly close process. In this role, the responsibility includes reviewing Contract Works elements and making sure they are properly reflected in Curalytics, as well as assuring that Curalytics is accurately reporting the transactions coming from Pioneer and the Datawarehouse.
Overall is responsible for ensuring the financial accuracy and integrity of the Clinic's financial reporting. · Maintains PSA billing elements within Curalytics.
Assuring all elements of Curalytic financials are accurate and in line with monthly close (e.g., Charged, Collected, CoGS, Management fee, AR, Inventory on-hand, etc..)
Reviewing the Clinic Revenue, CoGS, and Charitable Contributions ACHs to ensure accuracy and agreement with Curalytics.
One-off clinic exception handling (e.g., cash sustainability, IMG, early payment, etc.. )
Assist in addressing one-off clinic questions and issues as they arise. · Creating analyses on an as-needed basis. 50
Assist in developing and testing the future Profitability PBI & ensuring the information being produced is accurate and can be used to book Revenue and CoGS, and agree with reports from Pioneer. The information in this PBI is generally adjudicated, filled, and completed information along with the normal data elements, to evaluate profitability.
Assist the FP&A Team and Controller where needed in monthly close and planning processes.
Assist with the Financial Reporting close package.
Complete assigned monthly analyses.
Assist with developing structure and maintaining Business Unit (BU) P&L reporting.
Responsible for maintaining the base file to calculate Commissions for Curant Specialty and to aid in the calculation of Commissions.
Requirements
Bachelor's Degree in Accounting, Finance, or related program with at least 2 years' experience is required.
Experience in a Healthcare setting is preferred. Demonstrates expertise in analyzing and automating the use of data in a variety of the field's concepts, practices, and procedures.
To perform this role successfully, an individual will need to be proficient in the Microsoft Suite of products, including advanced use of excel and a preferred use of Power BI.
Sage Intacct, VENA, and Pioneer software experience is preferred but not required.
Financial Analyst I - Tax
Finance manager job in Tampa, FL
Description
The Financial Analyst I - Tax supports the Treasury & Planning department with the following duties: assist with monthly sales and use tax review, annual corporate tax filings and other tax research and support, assist with real and tangible tax returns, analyze current and past financial data and performance; prepare financial reports and projections; analyze trends in financial performance and provides recommendations for improvement; other ad hoc financial modeling and forecasting. This role will also assist other Treasury & Planning functions, such as corporate budget planning, risk and insurance, and other strategic initiatives as time and workload permit.
Essential Functions
Provides input, analyses, calculations, etc. on tax-related aspects of forecasts and projections
Develops, implements and maintains comprehensive tax record keeping systems to ensure proper tax treatment for all transactions and assets, including treatment of leased and owned property.
Assists Senior Tax Specialist with the preparation, support and filing of tax returns and other tax-related documents and disclosures.
Assist as time permits with compilation of Seminole annual budget and long-term financial forecast
Assist as time permits with annual renewal for Seminole's insurance portfolio and other risk responsibilities
Assist as time permits with implementing policies, procedures and internal controls, ad hoc reporting and other administrative duties
Maintain documentation and records of financial transactions and monitors compliance with covenants, terms and conditions
Perform other duties as applicable to the position or as assigned.
NERC Compliance: Performs NERC Compliance Program roles if/as designated in Seminole's Standard Ownership Matrix (SOM) including ongoing evidence retention in “audit-ready”. You should also be familiar with Seminole's Enterprise Internal Compliance Program (ENT-GCD-RGC-EP-054) to further your understanding of Seminole's compliance program and the context of your duties and responsibilities attendant to your designation in the SOM.
Qualifications and Education Requirements
Bachelor's degree in accounting, finance, or business equivalent. Training in financial management or an advanced accounting or finance degree is desirable. Electrical utility or related industries experience preferred.
Core Competencies
: Adaptable, Collaborative, Conscientious, Critical-Thinking, Outcome-Driven and Professional
Technical Competencies/Skills
:
Educational course completion in: financial accounting and reporting, cost accounting, federal income taxes, audit
Federal, State & Local Tax Laws & Regulations
Accounting principals
Financial Modeling
Budgets and reporting
Financial analysis, planning & forecasting
GAAP, RUS, and FERC accounting standards
Industry benchmarking
Proficient with Microsoft Office applications
Soft Competencies/Skills
:
Effective verbal/nonverbal, listening and written communications
Analytical
Planning and organizing
Problem analysis & diagnostic information gathering
Attention to detail
Coordination / team collaboration
Strategic thinking
Physical Requirements
Must be able to follow established protective measures including wearing required personal protective equipment (PPE). Must possess a valid driver's license and acceptable Motor Vehicle Report.
Working Conditions
Some travel and work outside of normal business hours. While working in certain areas of the plant there is the potential for exposure to hazards typical of an industrial working environment.
“
Disclaimer - Management may modify this job description at any time and may require the performance of additional duties,
or modification of physical requirements, with or without advance notice.”
Auto-ApplyDirector, Finance/Controller
Finance manager job in Tampa, FL
JOB TITLE: Controller | Director of Finance REPORTS TO: CFO CLASSIFICATION: Exempt STATUS: Mostly Onsite - 3624 Causeway Blvd. Tampa, FL 33619 RANGE: $89,000 - $94,520 (2025) Feeding Tampa Bay serves ten counties in West Central Florida and is a leader in hunger relief across our region. Just last year, we served 85M meals to our neighbors through direct service and through our network of 400+ food pantry partners.
But, we know food alone won't solve hunger - that's why we're redefining what it means to feed our region. By creating pathways to possibilities for nearly 1 million people, Feeding Tampa Bay connects and convenes solutions, partners and resources that nourish long-term stability. As a member of the Feeding America network, we will work to dismantle barriers for individuals, families and seniors across our area - because it's possible.
SUMMARY
This position is responsible for maintaining accurate financial records, ensuring compliance with regulatory requirements, and providing grant supportive financial guidance to support the organization's mission and goals.
ESSENTIAL DUTIES AND RESPONSIBILITIES:
* Exemplifies the desired culture and philosophies of Feeding Tampa Bay
* Prepare the monthly financial statements ensuring time-sensitive deadlines are achieved
* Lead operating budget preparation, reporting, and management
* Supervise accounting and inventory staff and assigned job responsibilities
* Oversee and conduct the month-end financial close, including recording payrolls, inventories, receivables, payables, adjusting journal entries and fixed assets
* Oversee inventory management for all inventoried items
* Coordinate the provision of financial information to departments as needed
* Complete ad hoc financial reports as needed
* Ensure general ledger reconciliations are completed monthly
* Reconcile Donor database records to accounting and financial system
* Serves as "super user" to NetSuite computer system for accounting issues
* Serves as "super user" for Concur accounts payable automation system
* Ensure all accounting practices and principles are applied in financial processing and reporting
* Ensure all policies and procedures are appropriately documented in the accounting policy manual
* Ensure documentation and records are up-to-date for audit purposes
* Lead the annual audit process for GAAP, A-133 and other required audit processes
* Manage the general ledger structure
* Oversee internal controls and recommend improvements to strengthen controls
* Identify cost savings opportunities and conduct routine analysis of all general ledger accounts
* Maintain all finance records related to grants. Conduct all fiscal grant planning and budgeting
* Ensure policy and procedures manuals for Finance Department is updated and accurate
* Willing to actively participate in mission-driven programs, such as food distribution initiatives and disaster relief operations as needed
* Other duties and responsibilities as assigned
Requirements
To perform this job successfully, an individual must be able to perform each essential duty satisfactorily. The requirements listed below are representative of the knowledge, skills, and/or ability required. Reasonable accommodations may be made to enable individuals with disabilities to perform the essential functions.
EDUCATION and/or EXPERIENCE:
* Excel working in a fast-paced, evolving environment and demonstrate the ability to embrace the FTB's commitment to treat all people with equity and respect in pursuit of our mission to feed people in need and mobilize our community to eliminate hunger
* Bachelor's degree in Accounting or Finance
* 7+ years of accounting/finance experience, with 2+ years of supervisory experience.
* Non-profit and/or manufacturing accounting experience preferred
* Current working knowledge of GAAP
* Ability to analyze financial data, develop reports, and make decisions based on data and GAAP
* Strong computer skills, including Excel, Word, and database management and finance software programs
* Ability to meet deadlines, organize, prioritize, and plan work activities using time efficiently
* Ability to work with detail accurately while adhering to deadlines in a high-energy, fast-paced environment
* Commitment to understanding and supporting FTB's mission and Grow Code
* May be required to adjust work schedule to meet deadlines
* Ability to safeguard and maintain the confidentiality of personnel information
* Excellent written, oral, and interpersonal communication skills
* Ability to understand and organize detailed information and possess attention to detai,l with the ability to solve problems and show initiative
* Ability to juggle multiple projects with attention to detail and accuracy while adhering to deadlines in a high-energy, fast-paced environment
* Exercise good judgment and discretion; strong ethical character capable of handling confidential information
* Work closely with management to keep projects and tasks moving forward
* Ability to prioritize and plan work activities and use time efficiently
* Excellent oral and written communication skills with proactive customer service experience
* Willing to be cross-trained to support corporate and community engagement team efforts, which may also include volunteering, food and fund drives, and delivery of community education and outreach programming
Head of Financial Planning & Analysis
Finance manager job in Tampa, FL
Head of Financial Planning & Analysis (FP&A)
Compensation: Competitive base salary ($180,000-$210,000) + bonus + outstanding benefits
Our client, a dynamic, private equity-backed, multi-location organization, is looking for a Head of FP&A to become a strategic partner to the CFO, executive leadership, and PE sponsor. This role will lead the FP&A function, shaping financial strategy, driving forecasting and budgeting, and delivering insights that fuel growth and value creation. You'll also play a pivotal role in M&A readiness, strategic planning, and building scalable financial processes for a high-growth environment.
Key Responsibilities
Strategic Partnership: Collaborate with CFO, CEO, and leadership to provide actionable insights that influence business decisions and profitability.
Budgeting & Forecasting: Own the annual planning cycle, ensuring accuracy and alignment with organizational goals.
Reporting Excellence: Deliver monthly financial reports and performance dashboards for executives, board members, and PE sponsors.
Financial Modeling: Build and maintain models to evaluate performance, risk, and growth opportunities.
KPI & Analytics: Define and monitor KPIs, and create dynamic dashboards in Power BI to translate data into strategic action.
Cash Flow Oversight: Manage cash flow forecasting and optimize working capital.
M&A Support: Contribute to due diligence, valuation, and integration for acquisitions.
Innovation: Advance analytics capabilities to drive incremental value and align data with strategic objectives.
What We're Looking For
Proven experience in multi-site healthcare, franchising, or PE-backed businesses.
Strong analytical skills and ability to simplify complex processes.
Exceptional communication and relationship-building skills with senior leadership.
8-10+ years in Finance/FP&A roles, ideally in high-growth, PE environments.
Expertise in ERP systems (NetSuite preferred), Power BI, and advanced Excel.
Bachelor's in Finance or Accounting required; MBA preferred.
Why Join Us?
Flexible hybrid work model.
Competitive compensation and comprehensive benefits.
High visibility with executive leadership and private equity sponsors.
Opportunity to shape FP&A strategy and build a scalable team.
Recent NetSuite implementation and upcoming CRM projects.
At Taylor White, we specialize in Accounting & Finance roles in Tampa Bay. Our industry knowledge, combined with our extensive recruiting experience, means we not only know what you're looking for...we know how to find it! For more information, please contact us via our website at ********************