This list contains only the countries for which job offers have been published in the selected language (e.g., in the French version, only job offers written in French are displayed, and in the English version, only those in English).
Robert Half Management Resources is looking for an Accounting Manager to join one of our clients on an interim basis. This position will lead core accounting operations, guide a high-performing team, and help ensure accurate, timely financial reporting across the organization. The role calls for a hands-on leader who can strengthen financial processes, partner effectively with cross-functional teams, and provide clear insight into business performance.
Job Responsibility:
Lead day-to-day corporate accounting activities and provide direction to team members across general accounting, accounts payable, and other assigned functions
Oversee the monthly close cycle to ensure financial transactions are captured accurately, completely, and within established reporting deadlines
Manage and support key accounting areas including payables, receivables, credit and collections, sales and use tax, and cash flow forecasting activities
Prepare and deliver month-end financial reporting packages, including analysis that highlights operational and financial trends
Review profit and loss results across branches, regions, and business segments, and present clear explanations for meaningful variances
Perform balance sheet analysis, investigate significant fluctuations, and recommend corrective actions or process improvements where needed
Partner with leadership on budgeting, working capital reporting, strategic initiatives, audit support, tax preparation activities, and annual insurance data submissions
Maintain and reinforce internal controls, document accounting procedures, support inventory count activities on site and remotely, and establish departmental goals aligned with company priorities
Requirements:
Proven experience leading accounting operations in a manager-level role with responsibility for team oversight and financial reporting
Strong knowledge of month-end close, general ledger management, journal entries, and account reconciliations
Experience preparing audit-ready financial information and supporting financial statement audits and tax-related deliverables
Demonstrated ability to analyze income statement and balance sheet activity and explain significant business variances
Familiarity with accounts payable, accounts receivable, credit and collections, and sales and use tax processes
Working knowledge of treasury activities, including cash flow forecasting and working capital reporting
Experience with JD Edwards EnterpriseOne or a comparable enterprise accounting system
Strong communication and cross-functional collaboration skills, with the ability to serve as a trusted accounting resource across the organization
What we offer:
medical, vision, dental, and life and disability insurance