Director of Accounting

Robert Half
Published
October 10, 2021
Location
Jacksonville, FL
Category
Job Type

Description

Ref ID: 01120-0011991854

Classification: Controller

Compensation: $90000.00 to $100000.00 yearly

Do you have a knack for leading with high standards, positively motivating others, and making critical decisions and have experience taking charge of an accounting and clerical department? Contact Robert Half about this reputable company's Director of Accounting opportunity. If you are good at planning and directing all accounting operational functions, handling the accumulation and consolidation of financial data for internal and external financial statements, evaluating accounting and internal control systems, and leading departmental staff, this role might be right for you. Candidates who can lead with integrity and reliability and have the ability to manage self and others with urgency, practicality and accountability when providing client services, will be preferred for this position. You might be a good fit for this position if you are a creative team player with a talent for challenging the status quo, coming up with unique ideas, negotiating and influencing. Is it time to advance your career? Find out more about this opportunity and take the next steps toward a very competitive and generous compensation and benefits package. The Director of Accounting position is a permanent opportunity in the Jacksonville, Florida region.

Your responsibilities in this role

- Support Finance Department initiatives, including software and systems implementation and other departmental or firm-wide improvements, through research, planning and implementation, as needed

- Assess, execute and improve policies, procedures, controls and most methodologies

- Complete tasks beyond formal job responsibilities

- Review and revise deliverables of self and team to ensure that they meet client expectations

- Lead the operations of the finance department which includes accounts payable, billings & collections, and payroll

- Complete month-end and year-end close of income statement and balance sheet, reconcile accounts, and handle G/L analysis

- Drive the timing for monthly billing and other cash management techniques to ensure the timely cash collection

- Present executive committee and partners with monthly financial reports

- Manage daily cash and prepare cash-flow reports, projecting cash needs at weekly and monthly intervals

- Work closely with executive team and partners to ensure that firm-wide operation is efficient and effective

- Manage the production of the annual budget and forecasts and monitor on a monthly basis

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