Top Finance Jobs in Atlanta, GA
The Revenue Accounting Manager oversees billing operations, ensures accurate invoicing, manages month-end close processes, analyzes financial fluctuations, and collaborates with multiple departments to resolve billing discrepancies. The role emphasizes compliance with financial standards and process improvement initiatives in revenue accounting.
The Accountant will perform general accounting operations, manage accounts payable and receivable, reconcile bank statements, prepare financial statements, and collaborate with the accounting team in a fast-paced environment.
The Accounting Advisory Manager will manage Financial Reporting and Technical Accounting engagements, oversee the team in preparing financial statements, research accounting topics, lead multiple engagements, and manage engagement profit margins through invoicing.
The Director will lead various accounting advisory services including IPO and M&A readiness, SEC compliance, and financial reporting. Responsibilities include managing engagement teams, reviewing financial statements, independent research on accounting topics, and developing budgets. Strong coaching and business development skills are required.
The Tax Partner will lead tax consulting and compliance engagements while attracting and retaining clientele. Responsibilities include developing team members, providing tax expertise, and maintaining a network of referral sources. The position requires strong leadership in a fast-paced environment, with a focus on exceeding client expectations and integrating firmwide initiatives.
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Assist in managing accounts payable and accounts receivable, monitoring cash flow, resolving billing issues, preparing financial reports, and supporting financial audits. Requires a Bachelor's degree in Accounting or Finance, 5 years of relevant experience, and proficiency in Google Sheets and MS Excel.
As a Tax Accountant at Manay CPA, you will prepare and review complex tax returns, ensure compliance with US tax laws, provide tax planning strategies, and mentor junior staff. You will also analyze financial data, assist with client acquisition, and ensure smooth onboarding processes, all while delivering exceptional client service.
The Sr. Accountant will oversee financial operations for clients, manage audits, ensure compliance with US tax laws, handle accounts receivable and payable, and mentor junior staff while improving financial strategies.
As a Tax Accountant at Manay CPA, you will prepare individual and business tax returns, ensure compliance with U.S. tax laws, review staff returns, and provide tax resolution services. You'll analyze financial data, support consulting needs, mentor junior staff, and enhance client acquisition efforts, all while delivering exceptional customer service.
The Manager - Accounting Advisory will oversee engagement work plans related to NAIC Statutory Reporting and Financial Reporting. Responsibilities include delegating tasks, reviewing financial statements, conducting complex accounting research, managing multiple engagements, and ensuring alignment on project expectations and profit margins.
The Senior Manager in Tax Advisory oversees engagement work plans, providing expertise in tax implications for business objectives. Responsibilities include advising clients, performing tax provision calculations, researching complex tax topics, and managing engagement economics. The role requires strong interpersonal skills and leadership in a hybrid work environment.
Director in Accounting Advisory providing various accounting advisory services including IPO and M&A Readiness, CFO Advisory, SEC Compliance & Financial Reporting, and mentoring staff. Responsibilities include delegating financial statement preparation, overseeing complex accounting topics, reviewing client deliverables, facilitating calls with external parties, and leading engagement teams. Requirements include a Bachelor's degree in Accounting or Finance, 10+ years of accounting experience, CPA certification, knowledge in SEC filings and technical accounting, and expertise in Microsoft Excel.
The Financial Manager at Shift4 will be responsible for supporting the organization’s financial health by developing advanced financial models, preparing reports, conducting analyses, and providing strategic recommendations to management related to the payments processing industry.
This role involves serving as a technical accounting resource, ensuring revenue recognition compliance, performing detailed accounting analysis on complex issues, and assisting with monthly and quarterly close processes. The candidate will collaborate with various teams across the company on pricing initiatives and contracts.
The accountant will lead the accounting team in balancing the general ledger and subsidiary accounts, manage cash and bank account reconciliations, handle accounts payable, and ensure compliance with GAAP. Duties also include financial analysis, variance analysis, and maintaining accounting procedures.
The Treasury Manager will oversee cash flow activities, manage hedging strategies for risks, assist in corporate finance structuring, and establish relationships with funding stakeholders. The role involves collaborating with internal teams and supporting special projects within a dynamic finance environment.
The Financial Analyst will provide analytical support to the Fluids NA Division, evaluating financial data, preparing reports, and developing financial models to inform strategic business decisions. The role involves collaboration with business stakeholders, travel for field analysis, and ensuring accurate data reporting.
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