We are offering an exciting opportunity for a Financial Analyst in the retail industry, located in Lewisville, Texas, United States. As a Financial Analyst, you will be involved in a wide range of financial operations including developing and maintaining financial models, creating dynamic dashboards, collaborating with various teams, conducting month-end activities, and performing detailed financial analysis. <br><br>Responsibilities<br>• Accurately develop and maintain financial models using advanced Excel techniques and PowerBI to aid in budgeting and strategic planning.<br>• Construct and manage dynamic dashboards and visualizations in PowerBI to provide real-time financial insights.<br>• Work in collaboration with cross-functional teams such as supply chain and operations to align financial data and objectives.<br>• Conduct month-end activities including the preparation of financial reports, variance analysis, and communicating the results to shareholders and senior management.<br>• Use budgeting software to assist in the preparation and management of budgets and forecasts, ensuring their accuracy and alignment with the organization's goals.<br>• Carry out detailed financial analysis to identify trends, risks, and opportunities, and present these findings to leadership.<br>• Conduct comprehensive financial analysis including variance analysis and profitability analysis.<br>• Continuously identify and implement improvements to enhance efficiency and effectiveness in financial processes.
<p>We are looking for a dedicated and detail-oriented Senior Financial Analyst to join our team client's team in Dallas, Texas. In this role, you will play a key part in driving the financial planning, reporting, and forecasting processes to support business operations. This position offers the opportunity to collaborate with cross-functional teams and provide valuable insights that impact strategic decisions and is located in the Corporate Office location. After training, this will be a hybrid role working from home 2 days per week. For immediate consideration, please send your resume to Carol Nichols, SVP Robert Half Finance and Accounting, to carol.nichols@roberthalf.C0M. </p><p><br></p><p>Responsibilities:</p><p>• Lead financial forecasting, reporting, and analysis of operational metrics to ensure accurate and timely insights.</p><p>• Assess financial performance by comparing actual results with projections and identifying variances.</p><p>• Manage the quarterly and annual budgeting processes, including variance analysis and cost evaluations.</p><p>• Provide detailed analysis of cost savings initiatives and capital projects to support strategic decision-making.</p><p>• Collaborate with divisional and plant managers to monitor and drive financial results.</p><p>• Consolidate and analyze fixed and variable costs, productivity reports, and operational metrics.</p><p>• Develop and maintain financial models to support decision-making and evaluate business opportunities.</p><p>• Analyze business performance metrics, such as revenue, margins, and trade spend, to identify areas for improvement.</p><p>• Ensure accurate financial reporting and compliance by resolving discrepancies and collaborating with the accounting team.</p><p>• Create automated reporting tools and dashboards to streamline processes and enhance productivity.</p>
We are hiring a Sr. Financial Analyst to join our team in the retail industry, based in Lewisville, Texas. As a Sr. Financial Analyst, you will be closely collaborating with the leadership team to drive financial success and align with the overall strategy. You will be providing financial insights to support growth and profitability and overseeing financial reporting, budgeting, and risk management.<br><br>Responsibilities:<br><br>• Collaborate with the business unit's leadership team to ensure alignment with the overall corporate strategy.<br>• Provide financial insights that support the growth and profitability of the business unit.<br>• Oversee the financial reporting process, ensuring that reports are accurate and specific to the business unit.<br>• Lead the budgeting process, working with department leaders to develop realistic budgets that align with business goals and overall company priorities.<br>• Monitor and report on budget performance, identifying variances and advising on corrective actions.<br>• Conduct detailed financial forecasting to anticipate future trends, challenges, and opportunities within the business unit.<br>• Analyze and manage efficiency and cost metrics within the business unit to maximize profitability.<br>• Identify opportunities for cost savings and efficiency improvements specific to the unit's operations.<br>• Ensure the accuracy and integrity of financial data within the business unit’s reporting systems.<br>• Develop and maintain reports to guide business decisions, including both PowerBI and excel-based reports.
<p>We are looking for an experienced Senior Financial Analyst to join our team in Dallas, Texas. In this role, you will play a key part in driving financial planning, analysis, and reporting processes to support strategic business decisions. This position offers an excellent opportunity to collaborate cross-functionally, analyze financial data, and provide actionable insights for operational and senior management.</p><p><br></p><p>Responsibilities:</p><p>• Develop and maintain detailed three-statement financial models to support strategic planning, annual budgeting, and forecasting.</p><p>• Prepare consolidated monthly, quarterly, and annual financial reports, coordinating timelines, managing forecast models, and collaborating with teams to document assumptions.</p><p>• Conduct variance analyses comparing business performance to budget and prior periods, identifying root causes and presenting recommendations for improvement.</p><p>• Lead the annual budget development process, including performing ad-hoc analyses to enhance insights and supporting budget presentations.</p><p>• Create management reports with comprehensive analysis and commentary, ensuring accuracy and completeness through review processes.</p><p>• Build and nurture strong relationships with finance team members and business partners to ensure alignment and excellence.</p><p>• Utilize existing tools and systems to extract and summarize data, while proposing innovative solutions to improve financial reporting and dashboards.</p><p>• Standardize processes for data synthesis and dashboard creation to enhance efficiency and reliability.</p>
We are looking for an experienced Senior Financial Analyst to join our team in Fort Worth, Texas. In this long-term contract role, you will play a critical role in supporting strategic financial planning, performance analysis, and decision-making processes. This is an exciting opportunity to collaborate across departments and drive impactful financial initiatives.<br><br>Responsibilities:<br>• Develop, refine, and manage comprehensive financial models to assist with forecasting, budgeting, and long-term planning.<br>• Monitor and analyze actual performance against forecasts and budgets, identifying trends and explaining variances.<br>• Evaluate cost structures, labor and material expenditures, and revenue streams by customer or program.<br>• Generate and present monthly financial reports and key performance indicators to executive leadership.<br>• Partner with operational teams to assess efficiency metrics and margin performance across projects.<br>• Conduct pricing, profitability, and cost-benefit analyses to support new business opportunities.<br>• Perform inventory assessments and oversee capital expenditure tracking.<br>• Work closely with the accounting team during month-end close to ensure accurate revenue recognition, job costing, and accruals.<br>• Provide ad hoc financial analyses to aid strategic decision-making across various levels of the organization.
<p><strong>Location:</strong> Fort Worth, TX – <em>On-Site</em></p><p> <strong>Employment Type:</strong> Full-Time | W2 Employee | Project-Based Consulting</p><p> <strong>Division:</strong> Full-Time Engagement Professionals (FTEP) – Robert Half</p><p>Robert Half is seeking a <strong>Financial Analyst</strong> or <strong>analytically-minded Accountant</strong> to join our <strong>Full-Time Engagement Professionals (FTEP)</strong> consulting team in Fort Worth. This is a <strong>W2, full-time consulting role</strong> supporting local clients with strategic initiatives including budgeting, forecasting, and automation of reporting tools.</p><p>We’re looking for professionals who thrive in cross-functional roles and enjoy solving real business challenges with data. If you have a passion for process improvement and financial visibility, this is a great opportunity to put your skills to work across multiple industries.</p><p><br></p><p>What You’ll Do:</p><ul><li>Build and manage rolling forecasts, annual budgets, and cash flow models</li><li>Analyze key financial metrics, variances, and KPIs to support business decision-making</li><li>Automate reporting using Excel, Power BI, or ERP-based tools</li><li>Collaborate with department leaders to improve budgeting accuracy and performance reporting</li><li>Support finance transformation projects including data cleanup, dashboard creation, and process redesign</li><li>Prepare high-quality presentations and models for executive leadership</li></ul><p><br></p>
We are looking for a skilled Financial Analyst to join our team in Fort Worth, Texas. This Contract-to-permanent position offers an excellent opportunity to contribute to financial planning, analysis, and reporting for a dynamic organization. The ideal candidate will collaborate with cross-functional teams and provide valuable insights to support strategic decisions.<br><br>Responsibilities:<br>• Develop, refine, and manage financial models for budgeting, forecasting, and long-term planning.<br>• Conduct detailed cost analysis and performance tracking for various operational processes, including engine disassembly, assembly, and testing.<br>• Evaluate and support capital expenditure projects related to facility and equipment investments.<br>• Assist in preparing financial reports and analyzing monthly variances to ensure accurate tracking.<br>• Work closely with teams across procurement, operations, quality, and engineering to ensure alignment with cost objectives and strategic goals.<br>• Deliver financial insights to guide decision-making on pricing, customer contracts, and other strategic initiatives.<br>• Create internal reports and presentations tailored for senior leadership.<br>• Ensure compliance with internal policies and external regulations, maintaining high standards of accuracy and transparency.
<p>Robert Half Finance and Accounting and Kevin Sweet have partner with a national service company that is experiencing exponential growth and has a need for a newly created <strong>Senior Financial Analyst / Corporate Development Analyst</strong>. This newly created role is designed for a dynamic individual who thrives in a fast-paced and entrepreneurial environment. This position will play a key role in financial planning & analysis (FP& A), corporate development, mergers and acquisitions, investor relations, asset management, and strategic financial analysis. </p><p><br></p><p>Reporting directly to the Chief Investment Officer, this position offers high visibility across the organization, with regular interaction with the executive team, senior management, investors, and the board of directors. This position will help drive strategic decision-making, support mergers and acquisitions and capital markets initiatives, and strengthen internal financial processes.</p><p><br></p><p>My client offers a hybrid work schedule, has beautiful new offices, offers a competitive benefits package that includes 401k match and annual bonus program. </p><p><br></p><p>For addition information and consideration, please contact Kevin Sweet at 682-499-1182 or via email at Kevin.Sweet@RobertHalf.C0M </p><p><br></p><p><strong>Key Responsibilities</strong></p><ul><li>Lead financial modeling, budgeting, forecasting, and variance analysis.</li><li>Support capital raising, mergers and acquisitions, due diligence, valuations and integration planning.</li><li>Partner with leadership to evaluate strategic initiatives, market opportunities, and operational KPIs.</li><li>Develop and refine dashboards, business intelligence reporting, and performance metrics.</li><li>Assist in investor communications, board presentations, and internal reporting packages.</li><li>Collaborate cross-functionally with operations, accounting, and commercial teams.</li><li>Analyze and optimize asset utilization, capital deployment, and return on investment.</li></ul><p><br></p><p><br></p>
We are looking for a highly organized and detail-oriented Contracts Specialist to join our team in Dallas, Texas. In this long-term contract position, you will play a pivotal role in managing and administering various aspects of contracts, billing, and reporting processes. This is an excellent opportunity for someone with strong administrative and analytical skills to collaborate with cross-functional teams and contribute to the success of our operations.<br><br>Responsibilities:<br>• Establish and manage new transactions within the company's aircraft management system, ensuring data accuracy.<br>• Handle billing and invoicing for rentals, maintenance reserves, overdue interests, security deposits, part sales, and other related transactions.<br>• Monitor accounts receivable and oversee the collection process for outstanding amounts, including part sales and rebills.<br>• Prepare and update maintenance reserve summaries, supporting monthly calculations, rate escalations, and claim reimbursements.<br>• Process maintenance reserve rate escalations and ensure updates are accurately reflected in the management system.<br>• Track and analyze flight data to calculate engine billing rates as required.<br>• Ensure timely renewal and processing of insurance documents within the management system.<br>• Compile and distribute reports to lessors, lenders, and lessees on a monthly basis or upon request.<br>• Collaborate with the Contracts team and other departments, including financial analysts, marketers, attorneys, paralegals, technical managers, and accountants.<br>• Participate in special projects and other responsibilities as assigned.
<p>North Dallas company looking for an Accounts Payable Analyst. In this position, you will conduct Accounts Payable, analyze and forecast performance in conjunction with operating plans, vendor reconciliations, discrepancy research and more. Additional duties include be responsible for advising management on the allocation of resources to best accomplish objectives and preparing AP Department reports for management. You will be a part of a dynamic team being a key business partner in areas such as forecasting, performance reporting, and expense management. </p><p> </p><p>Role & Responsibilities</p><ul><li>AP Analyst who can support world class strategic and financial planning methods, build long-range operating plans to support business imperatives, develop rolling forecast processes to ensure resources each and every quarter are consumed at maximum effectiveness. You will also help with operationalizing and cultivating a more data-driven planning process and improved monthly and quarterly AP reporting.</li><li>Work with senior executives on strategic deep dives by developing financial models and insights on topics such as: Retention forecasts, Campaign Planning & Tracking, return on investment of strategic investments, event tracking and execution, strategic resource allocation and prioritization</li><li>Track monthly and quarterly performance through comparison of actuals versus expectations and enable business partners to handle their resources in the best way possible</li><li>Drive monthly reporting to business partners on financial results and actions required</li><li>Work with Accounting on the monthly and quarterly financial close process</li></ul><p><br></p>
We are looking for a highly skilled SOX Analyst to join our team in Lewisville, Texas. This role involves collaborating with senior leadership and various departments to ensure compliance with Sarbanes-Oxley (SOX) requirements and the effectiveness of internal controls over financial reporting. The ideal candidate will bring a blend of technical expertise, auditing experience, and strong interpersonal skills to excel in this critical position.<br><br>Responsibilities:<br>• Implement and oversee SOX compliance procedures across multiple entities, divisions, and locations to ensure adherence to regulatory standards.<br>• Collaborate on the development and maintenance of SOX methodologies, reporting frameworks, and compliance strategies, with an emphasis on SOX 404 requirements.<br>• Conduct scoping, scheduling, and execution of annual SOX compliance activities to meet deadlines effectively.<br>• Partner with the Internal Audit team to perform guest auditor activities and contribute to the completion of audit workpapers.<br>• Carry out remediation testing to address identified findings and ensure compliance with corrective measures.<br>• Support conferences and meetings involving the audit committee and the Controller’s organization.<br>• Manage and maintain the audit management system to enhance efficiency and accuracy in compliance tracking.<br>• Foster strong relationships with Finance, Accounting, and Operations teams to promote a culture of accountability and collaboration.<br>• Participate in special projects aimed at improving business processes and driving organizational value.
We are looking for an experienced Accounts Receivable Analyst to join our team on a contract basis in Carrollton, Texas. In this role, you will be responsible for managing and analyzing financial transactions, ensuring accurate billing, and maintaining efficient accounts receivable processes. This position offers an excellent opportunity to apply your expertise in accounting systems and financial operations.<br><br>Responsibilities:<br>• Oversee accounts receivable processes, including billing, collections, and reconciliations.<br>• Ensure accuracy in financial transactions and maintain detailed records in accounting systems.<br>• Utilize ERP and CRM systems to track and manage customer accounts effectively.<br>• Collaborate with internal teams to resolve discrepancies and improve financial workflows.<br>• Generate and analyze financial reports to support decision-making.<br>• Monitor cash activity and ensure timely deposits and postings.<br>• Support accounts payable processes as needed to ensure a seamless financial operation.<br>• Assist in the implementation and optimization of accounting software systems.<br>• Provide recommendations to enhance efficiency in billing and receivables operations.
Robert Half has teamed up with a $10 billion + alternative investment firm to assist in the recruitment of a Hedge Fund Portfolio Analyst (Valuation Team). This position will have excellent exposure to Wall Street brokers / banks and will get a basic understanding of the hedge fund industry. Pay range is 55-70K on the base with all benefits paid by the company. The investment firm is open to candidates who have a degree in Accounting or Finance (CPA or parts passed a plus but not required) from a top school. Must have a GPA of 3.4 or higher. <br> IMPORTANT – to be considered for this role, please call Chris Willhite at 972-789-9590 AND reach out to Chris on LinkedIn (email your resume to Chris). <br> The firm has immediate openings for 2 highly experience in and motivated individuals to join the team as a Hedge Portfolio Analyst Team (middle office – valuation). The position reports to the Head of Valuation Reporting and will interact with attorneys, investment bankers, accounting department, senior investment professionals and all internal operations. This is a dynamic opportunity to contribute directly in the growth of a complex and fast moving company as it prepares for its initial public offering. <br> Responsibilities <br> Daily reporting for investment activity (valuation) Preparation and consolidation of investment and financial reporting Interaction with portfolio managers to process information Interaction with Wall Street banks/brokers to obtain and decipher information Review bank loan agreements, trade documentation and bond settlement agreements General ledger maintenance for Fund Accounting <br> Qualifications <br> 1-3 years + experience in the public accounting field BBA/PPA/MPA in Accounting from a top tier, nationally ranked business school CPA required or certification pending Working knowledge of general Finance and Accounting functions Advanced Microsoft Office skills Detail and task-oriented with a strong work ethic Excellent communication and organizational skills Experience in Financial Analysis and Project Management Oracle general ledger system experience is a plus Ability to work 45-50 hours per week <br> IMPORTANT – to be considered for this role, please call Chris Willhite at 972-789-9590 AND reach out to Chris on LinkedIn (email your resume to Chris).
<p>We are offering an exciting opportunity for a Risk Management Analyst to become a part of our team in the Real Estate & Property industry, located in Dallas, Texas. As a Risk Management Analyst, you will be tasked with a variety of functions such as the management of vendor insurance, compliance verification, claims administration, and security monitoring. </p><p><br></p><p>Responsibilities</p><p><br></p><p>• Oversee vendor insurance; ensure timely reviews and updates in coordination with the Property Experience team.</p><p>• Regularly verify OFAC compliance for vendors and tenants.</p><p>• Administer and manage liability claims, including filing, reviewing incident reports, and tracking correspondence.</p><p>• Coordinate property visits with the carrier and engineering staff, and maintain a record of carrier recommendations.</p><p>• Compile underwriting information for annual program renewal and on all property acquisitions.</p><p>• Maintain a database of all insurance requirements in loans, joint venture agreements, and management agreements.</p><p>• Assist the Risk and Reporting Manager on litigation and complex property claims by assembling data and tracking.</p><p>• Monitor security protocols and standards; conduct annual reviews of camera upgrades.</p><p>• Review daily incident reports from security monitoring and track actionable items.</p><p>• Work with the Property Experience team on security video requests as needed.</p>
We are looking for an experienced IT Risk and Compliance Analyst to join our team in Fort Worth, Texas. In this role, you will play a critical part in ensuring the organization’s IT operations align with regulatory standards and best practices. Your expertise will contribute to assessing risks, improving compliance processes, and safeguarding the company’s technology infrastructure.<br><br>Responsibilities:<br>• Evaluate IT controls and compliance with established frameworks such as ISO 27001, COBIT, and regulatory standards.<br>• Conduct comprehensive risk assessments, control testing, and gap analyses to identify areas for improvement.<br>• Provide support for internal and external IT audits, including remediation planning and execution.<br>• Develop and maintain documentation for policies, procedures, and compliance evidence.<br>• Collaborate with cross-functional teams to enhance control effectiveness and mitigate technology risks.<br>• Monitor regulatory developments and ensure compliance with evolving laws and industry standards.<br>• Assist in the implementation of tools and systems to streamline compliance and risk management efforts.<br>• Lead initiatives to educate stakeholders on IT risk and compliance obligations.<br>• Track and report on the organization's risk posture and compliance status.<br>• Support complaint handling and compliance investigations related to IT operations.
<p>We are looking for a detail-oriented Accounts Payable (AP) Analyst to join our team in Dallas, Texas. In this hybrid role, you will collaborate with various departments to manage accounts payable processes, ensure accurate coding, and maintain vendor records. This position offers an exciting opportunity to contribute to financial operations while driving process improvements and efficiency.</p><p><br></p><p>Responsibilities:</p><p>• Assist the Accounts Payable Manager and accountants by entering payables and processing AP batches for checks, wires, and payments.</p><p>• Review expenses to ensure proper general ledger coding and verify alignment with budget allocations.</p><p>• Monitor payment workflows in Avidxchange, resolving escalated items and ensuring timely completion.</p><p>• Generate weekly and monthly reports and reconciliations in collaboration with the Accounts Payable Manager.</p><p>• Support monthly close procedures by working closely with accountants to finalize accounts payable activities.</p><p>• Partner with Property and Fund Accounting teams to ensure accurate expenditure tracking, timely vendor payments, and resolution of inquiries.</p><p>• Manage vendor records, including new vendor setups and updates to existing profiles in accounting systems.</p><p>• Assist in preparing annual 1099 tax filings for vendors.</p><p>• Identify opportunities for process improvements and contribute to enhanced efficiency in accounts payable operations.</p><p><br></p><p><br></p>
We are looking for a detail-oriented AML/KYC Analyst to join our compliance team in Dallas, Texas. In this long-term contract position, you will play a critical role in safeguarding the financial system by identifying and investigating potential money laundering and suspicious activities. Your work will ensure adherence to anti-money laundering regulations and support the organization's commitment to maintaining high compliance standards.<br><br>Responsibilities:<br>• Conduct comprehensive investigations of alerts triggered by transaction monitoring systems to detect suspicious or unusual activities.<br>• Assess client transaction patterns and behaviors to identify deviations from expected norms.<br>• Perform follow-up actions on flagged transactions, including in-depth due diligence to validate their legitimacy.<br>• Prepare and document clear and concise reports outlining findings for senior compliance personnel or regulatory entities.<br>• Collaborate with cross-functional teams to gather necessary information for customer due diligence and enhanced due diligence processes.<br>• Stay informed about the latest anti-money laundering regulations and apply this knowledge effectively in daily operations.<br>• Participate in ongoing training programs to remain updated on regulatory changes and compliance best practices.<br>• Work closely with technology teams to optimize transaction monitoring systems for improved efficiency and accuracy.
<p>Robert Half Finance and Accounting and Kevin Sweet have partnered with a high-growth technology company in Tarrant County that is seeking a skilled and motivated Financial Reporting Manager to join their expanding corporate accounting and finance team. This is a fantastic opportunity to contribute to a dynamic, fast-paced organization as it scales operations and builds toward long-term strategic goals. The ideal candidate is a CPA or CPA candidate with a strong foundation in SEC reporting, technical accounting, and internal controls. This role offers high visibility, cross-functional collaboration, and the chance to influence key reporting processes as the company continues to grow.</p><p><br></p><p>This position is offering a competitive base salary, 25% bonus, annual stock incentives, excellent benefits and hybrid work schedule!</p><p><br></p><p>For additional information and consideration contact Kevin Sweet at 682-499-1182 or via email at Kevin.Sweet@RobertHalf.C0M</p><p><br></p><p>Responsibilities:</p><p><br></p><p>• Prepare periodic financial reports, including Forms 8-K, 10-Q, and the Annual Report on Form 10-K.</p><p>• Collaborate with external auditors, senior management, and legal teams to review and finalize filings.</p><p>• Monitor and assess compliance with proposed accounting standards and regulatory changes.</p><p>• Conduct research and draft technical memorandums on significant accounting pronouncements and company transactions.</p><p>• Assist in managing stock-related reporting, including stock compensation plans and issuance processes.</p><p>• Implement and maintain internal controls to ensure compliance with financial regulations.</p><p>• Provide technical expertise on US GAAP, SEC regulations, and Sarbanes-Oxley requirements.</p><p>• Support ongoing initiatives to enhance the company's financial reporting systems and processes.</p>
We are offering an exciting opportunity in the finance sector, located in Irving, Texas, United States. We are seeking a CFO who possesses not just a financial background, but also operational expertise with experience overseeing diverse departments such as HR, IT, payroll, and operations. The role involves strategic partnership that will guide our organization through its next growth phase, while also being hands-on in supporting the team, ensuring financial discipline, operational excellence, and a cohesive company culture.<br><br>Responsibilities:<br><br>• Work closely with Founders and executive leadership team to define and execute the company’s long-term financial strategy, aligning financial goals with overall business objectives.<br>• Advise on the long-term financial planning process, maintaining alignment with growth opportunities, market dynamics, and shareholder expectations.<br>• Provide financial insights and strategic recommendations to guide critical decisions related to business expansion, market positioning, and capital allocation.<br>• Drive sustainable financial performance, balancing short-term operational needs with long-term growth ambitions.<br>• Execute financial planning and analysis, including budgeting, forecasting, and variance analysis, ensuring financial outcomes align with operational goals.<br>• Lead the finance department in the accurate and timely preparation of all financial statements and reports, adhering to best practices and regulatory requirements.<br>• Develop and implement financial processes, tools, and technologies that streamline financial reporting, budgeting, and decision-making, fostering a culture of data-driven decision-making.<br>• Serve as a trusted partner to the Founders, fostering a strong, transparent, and collaborative relationship, regularly engage in strategic discussions regarding company vision, operational challenges, and growth opportunities.<br>• Drive cross-departmental initiatives that enhance financial and operational efficiency, improving company-wide performance.<br>• Act as the point of escalation for major operational issues, ensuring that financial perspectives are integrated into decision-making across the organization.
<p>We are looking for a detail-oriented Treasury Analyst to join our team in Fort Worth, Texas. In this role, you will oversee the management of banking accounts, user access, and ensure compliance with company policies. This position offers an opportunity to contribute to vital treasury operations and support organizational financial processes.</p><p><br></p><p>Responsibilities:</p><p>• Manage the establishment, maintenance, and closure of bank accounts while ensuring proper setup and compliance with company policies.</p><p>• Administer user access to online banking systems, including training and support for remote check deposit processes.</p><p>• Handle bank-related correspondence and address inquiries or issues regarding accounts.</p><p>• Review, approve, and record journal entries related to daily sweeps, returned items, and other banking adjustments.</p><p>• Track and resolve discrepancies in payment reconciliations and fraud inquiries.</p><p>• Prepare monthly letters of credit reconciliations and corresponding journal entries.</p><p>• Serve as a backup for treasury functions such as wire transfers, electronic deposits, and positive pay processing.</p><p>• Complete special projects related to cash management and treasury operations as needed.</p><p>• Conduct all tasks professionally while adhering to organizational standards and practices.</p><p><br></p><p>This corporate organization offers a competitive compensation package up to $100K, plus Bonus, and benefits. For more information and consideration, please contact Eric Murray at 682-350-8439 or via Email at eric.murray@RobertHalf.C0M</p>
<p><strong>Accounting Manager</strong></p><p><br></p><p>Robert Half Finance and Accounting and Kevin Sweet have partnered with a premier national entertainment organization for a newly created Hybrid Accounting Manager position.</p><p><br></p><p>The Accounting Manager will be responsible for overseeing the financial operations of the company, ensuring the accuracy of financial records, managing day-to-day accounting functions, and providing strategic insights for financial decision-making. The ideal candidate will have a strong background in accounting, excellent organizational skills, be a self-stater and have a keen eye for detail.</p><p><br></p><p><strong>For additional information and consideration, please contact Kevin Sweet directly at 682-499-1182 or via email at Kevin.Sweet@RobertHalf.C0M</strong></p><p><br></p><p><strong>Key Responsibilities:</strong></p><ul><li>Manage and oversee the daily operations of the accounting department.</li><li>Prepare accurate and timely monthly, quarterly, and annual financial statements in accordance with GAAP.</li><li>Monitor and analyze financial performance, identifying trends, variances, and areas for improvement.</li><li>Lead the preparation of financial reports for senior management and external stakeholders.</li><li>Manage the company's budgeting and forecasting process.</li><li>Ensure compliance with local, state, and federal financial regulations and reporting requirements.</li><li>Assist with the development and implementation of accounting policies and procedures to improve internal controls.</li><li>Supervise and mentor a team of accountants, providing guidance and professional development opportunities.</li><li>Coordinate and assist with internal and external audits.</li></ul><p><br></p><p><strong>Qualifications:</strong></p><ul><li>Bachelor's degree in Accounting, Finance, or a related field. CPA designation is preferred.</li><li>4+ years of progressive accounting experience</li><li>Strong knowledge of NetSuite and proficiency in Microsoft Excel.</li><li>Experience with financial reporting, budgeting, forecasting, and tax compliance.</li><li>Strong analytical, problem-solving, and organizational skills.</li><li>Ability to manage multiple priorities and deadlines in a fast-paced environment.</li><li>Excellent communication and interpersonal skills.</li></ul><p><br></p>
<p>Robert Half Finance and Accounting and Kevin Sweet have partnered with a national commercial real estate client for a newly created Accountant Manager position! As Accountant Manager you will be responsible for a portfolio of commercial properties handling the day-to-day accounting operations, month-end close, monthly financial statements, variance analysis, annual budget, forecasts and financial reports and managing and monitoring the daily activities of assigned accounting staff and ensuring that all policies and procedures are consistently and accurately followed for the assigned properties.</p><p><br></p><p>My client is offering incredible benefits, beautiful offices, free parking, outstanding work-life balance and offers a hybrid work schedule with only one day a week in the office.</p><p><br></p><p>For immediate consideration, please contact Kevin Sweet directly at 682-499-1182 or email me at Kevin.Sweet@RobertHalf.C0M</p><p><br></p><p>Connect with me and join my LinkedIn Network - Bing or Google search ("Kevin Sweet" AND "Robert Half Finance and Accounting")</p><p><br></p><p>Responsibilities:</p><p>• Oversee and manage daily functions of the accounting staff, ensuring consistent adherence to policies and procedures.</p><p>• Conduct regular reviews of financial reports and reconciliations to ensure accuracy and consistency.</p><p>• Collaborate with property management and clients to meet all reporting deadlines.</p><p>• Provide leadership and training in the utilization of real estate accounting software.</p><p>• Direct and manage detail-oriented staff, with a thorough understanding of each staff member's responsibilities.</p><p>• Participate in the hiring, training, and mentoring process of new staff members.</p><p>• Review and approve new vendors, as well as changes to existing vendors.</p><p>• Oversee the preparation of monthly accounting calendars to ensure deadlines and owner requirements are met.</p><p>• Provide oversight in maintaining, reviewing, and filing of all required accounts.</p><p>• Collaborate in the preparation of the annual budget and review the final version prepared by the property manager.</p><p>• Assist in the management of new project takeovers, coordinating the transition with accountants, clients, property management, and Treasury.</p><p><br></p><p>Interested candidates must have a bachelor's degree in accounting or finance at least 5+ years of progressive full-cycle commercial real estate experience, be proficient with MRI and or Yardi and Excel, have managerial experience, and CAM reconciliations and straight-line rent experience.</p>
We are looking for a skilled Accounting Manager to lead and optimize the operations of our accounting department in Dallas, Texas. This role involves supervising a team of professionals, ensuring compliance with regulatory standards, and driving process improvements. The ideal candidate will have a strong background in accounting, excellent leadership skills, and a commitment to accuracy and efficiency.<br><br>Responsibilities:<br>• Oversee the daily operations of the accounting department, ensuring smooth workflows and compliance with policies.<br>• Assign tasks and projects to team members, including entry-level Accountant, AP Coordinator, and AR Coordinator, to maintain accuracy and accountability.<br>• Develop and implement new processes to improve efficiency and ensure compliance with regulatory and organizational standards.<br>• Manage the company’s general ledger, accounts receivable, cash flow, and collections to maintain financial health.<br>• Lead the month-end and year-end close processes, including the preparation of financial statements and audit documentation.<br>• Ensure timely and accurate filing of taxes in compliance with all relevant regulations.<br>• Participate in budgeting and forecasting efforts to support strategic financial planning.<br>• Monitor and enhance accounting systems and procedures, initiating corrective actions when necessary.<br>• Collaborate with internal and external stakeholders to meet financial reporting objectives and deadlines.
We are looking for an experienced Accounting Manager/Supervisor to oversee and manage the complete accounting cycle for our organization. Based in Mesquite, Texas, this role requires a detail-oriented individual with a strong background in financial operations and leadership. The ideal candidate will have expertise in full-cycle accounting, team management, and proficiency in accounting software systems.<br><br>Responsibilities:<br>• Oversee and ensure the accuracy of full-cycle accounting processes, including month-end close, reconciliations, journal entries, accounts payable, accounts receivable, and cash transactions.<br>• Manage and lead a team of accounting staff, providing mentorship and fostering an environment of collaboration and efficiency.<br>• Utilize NetSuite as the preferred ERP system to streamline accounting operations and reporting.<br>• Perform detailed financial reconciliations to ensure compliance and accuracy in all accounts.<br>• Review and approve journal entries to maintain the integrity of financial data.<br>• Implement and monitor internal controls to safeguard company assets and ensure regulatory compliance.<br>• Collaborate with other departments to ensure seamless financial processes and resolve any discrepancies.<br>• Analyze financial data and prepare reports to assist in strategic decision-making.<br>• Lead audits and ensure all documentation is accurate and readily available.<br>• Evaluate and improve accounting workflows to enhance efficiency and effectiveness.
We are in search of a Director of Accounting for our team in Dallas, Texas, 75201, United States. The Director of Accounting will be instrumental in supporting the Reporting and Revenue organization, ensuring compliance with accounting standards, and spearheading transformative projects and process enhancements. <br><br>Responsibilities <br><br>• Oversee and manage a team, fostering a collaborative and efficient work environment<br>• Take charge of Financial Reporting and Revenue accounting <br>• Prepare and present Financial Statements to high-level executives<br>• Collaborate with finance and business operations teams to streamline and improve accounting processes<br>• Establish and enforce internal controls and standards<br>• Enhance system integrations and process automation for better efficiency<br>• Ensure revenue recognition is timely and accurate, in line with ASC 606 standards<br>• Contribute to RFP processes<br>• Maintain confidentiality and safeguard the organization’s value by keeping information secure<br><br>Skills<br><br>• Proficiency in Auditing, ASC 606, Financial Reporting, and Public Accounting Audit <br>• CPA certification preferred <br>• Strong Microsoft Excel skills, including knowledge of advanced formulas and functions<br>• Excellent verbal and written communication skills<br>• Ability to interact productively with multiple stakeholders including clients, employees, and partners<br>• Detail-oriented, organized, and a self-starter able to work in a fast-paced environment