Accounting Manager

ActiveVerified 9h ago

Job description

Who: A hands-on accounting professional with 2–5 years of progressive experience who is ready to take ownership of day-to-day accounting operations and support a growing organization.

Who:

What: Manage and perform daily accounting functions, maintain accurate financial records, supervise an A/P associate, and support financial reporting, compliance, and process improvements.

What:

When: This is a full-time opportunity for an experienced accounting professional ready to take the next step in their career.

When:

Where: Peachtree City, GA.

Where:

Why: Join an established organization where you can work closely with senior financial leadership, take ownership of key accounting processes, and make a meaningful impact on accounting operations.

Why:

Office Environment: This is a 100% in-office position in a collaborative, hands-on environment requiring strong attention to detail, initiative, and the ability to work effectively across teams.

Office Environment:

Salary: Competitive compensation based on experience and qualifications.

Salary:

Position Overview

We are seeking a hands-on Accounting Manager to manage and perform the organization’s daily accounting operations while ensuring the accuracy, integrity, and timeliness of financial records. Reporting directly to the CFO, this position will supervise one A/P associate and play an important role in financial reporting, accounting controls, compliance, and continuous process improvement.

Accounting Manager

Key Responsibilities

Oversee daily accounting functions, including accounts payable and accounts receivable.

Oversee daily accounting functions, including accounts payable and accounts receivable.

Complete general ledger administration and prepare journal entries.

Complete general ledger administration and prepare journal entries.

Perform month-end and year-end closing activities and provide audit support.

Perform month-end and year-end closing activities and provide audit support.

Complete account reconciliations, including bank reconciliations.

Complete account reconciliations, including bank reconciliations.

Ensure timely and accurate monthly sales and use tax filings across multiple states.

Ensure timely and accurate monthly sales and use tax filings across multiple states.

Assist with financial reporting and cash flow management.

Assist with financial reporting and cash flow management.

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