We are looking for a highly skilled Senior Financial Analyst to join our dynamic team in Dallas, Texas. In this role, you will lead financial planning and analysis activities, including financial modeling, reporting, and budgeting processes. Your expertise will contribute to the strategic decision-making process by providing actionable insights and collaborating with cross-functional teams.<br><br>Responsibilities:<br>• Manage comprehensive financial planning and analysis (FP& A) functions, including the creation of detailed financial models and preparation of monthly, quarterly, and annual reports.<br>• Conduct thorough reviews of profit and loss statements, oversee reforecasting processes, and analyze budget versus actual performance to identify key variances.<br>• Collaborate with teams across the organization, such as Accounting, Operations, Asset Management, and Capital Markets, to reconcile and analyze financial data and performance metrics.<br>• Develop and refine processes to enhance the accuracy, efficiency, and productivity of FP& A activities, ensuring continuous improvement over time.<br>• Analyze qualitative and quantitative data from multiple systems to identify trends and provide meaningful insights that support business objectives.<br>• Assist in preparing high-quality presentations and reports for senior leadership, board members, investors, and other key stakeholders.<br>• Lead and support ad-hoc projects, including automating reporting processes, building dashboards, and creating data visualizations to aid decision-making.<br>• Define and document business requirements for various initiatives, ensuring alignment between technical solutions and organizational needs.<br>• Participate in user acceptance testing to confirm that project deliverables meet business goals and are executed within set timelines.
<p>We are offering an exciting opportunity for a Sr. Financial Analyst in the manufacturing industry, located in Lewisville, Texas, 75067, United States. As a Sr. Financial Analyst, you will play a pivotal role in driving the company's growth by developing financial strategies, conducting detailed financial analyses, and collaborating with various departments. </p><p><br></p><p>Responsibilities: </p><p>• Collaborate with operations to devise growth strategies, plans, and perform historical financial performance assessments.</p><p>• Conduct comprehensive analyses and develop financial models to bolster strategic initiatives.</p><p>• Manage the monthly reporting of new center budgets and its influence on the company's fiscal year plan.</p><p>• Offer insightful guidance to the corporate development team through ROI analysis.</p><p>• Develop five-year projections for acquisition, greenfield, and brownfield growth opportunities.</p><p>• Support real estate, facilities, and integrations with decision-making related to capital expenditure projects, lease renewals, and their respective impact on ROI.</p><p>• Handle other duties and perform ad-hoc analyses as needed.</p><p>• Collaborate effectively with all departments and management levels within the company.</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 a highly skilled Senior Financial Analyst to join our client's team in Fort Worth, Texas. In this role, you will play a pivotal part in shaping the company’s financial strategies by providing detailed analysis, forecasting, and reporting. Working closely with senior leadership and cross-functional teams, you will contribute to key decision-making processes that directly impact business growth and profitability. For immediate consideration, please email your resume to Carol Nichols, SVP Robert Half Finance and Accounting to carol.nichols@roberthalf.C0M. </p><p><br></p><p>Responsibilities:</p><p>• Develop and maintain rolling 12-month profit and loss (P& L) and capital expenditure (CapEx) forecasts, collaborating with business units to refine revenue and expense projections.</p><p>• Create and manage detailed financial models, key performance indicators (KPIs), and management reports to support data-driven insights for leadership and stakeholders.</p><p>• Partner with teams across Sales, Operations, and Category Management to construct and oversee budgets for gross revenue, net revenue, and profitability in alignment with organizational goals.</p><p>• Consolidate financial data from internal and international teams to track performance trends and provide actionable recommendations.</p><p>• Collaborate with business units to plan for expenses and headcount, while identifying and implementing cost-saving measures to optimize budgets.</p><p>• Conduct variance analysis to identify financial trends and provide strategic insights to senior leadership.</p><p>• Support financial reviews and presentations for stakeholders, including private equity partners.</p><p>• Utilize advanced tools and techniques, such as Power BI, to enhance reporting capabilities and streamline data visualization.</p><p>• Assist in the development of the annual operating plan by aligning financial objectives with company-wide strategies.</p><p>• Ensure the accuracy and integrity of financial data to support long-term business planning.</p>
<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 a meticulous Financial Analyst to join our team in Lewisville, Texas. This role is essential for driving financial insights, enhancing reporting processes, and contributing to strategic planning efforts. The ideal candidate will collaborate with cross-functional teams and senior management to support business decision-making and ensure financial accuracy.<br><br>Responsibilities:<br>• Conduct comprehensive financial analyses to assess profitability, cost efficiency, and trends impacting business performance.<br>• Develop and maintain financial models to forecast future outcomes and evaluate various business scenarios.<br>• Prepare detailed financial reports, including monthly, quarterly, and annual statements, ensuring accuracy and timeliness.<br>• Analyze key performance indicators (KPIs) and industry-specific metrics to provide actionable insights.<br>• Assist in the development of annual budgets and long-term financial forecasts to support strategic planning.<br>• Collaborate with internal teams to gather, verify, and interpret financial data for reporting purposes.<br>• Communicate financial findings and strategic recommendations effectively to senior management and stakeholders.<br>• Ensure compliance with internal controls, accounting principles, and regulatory standards.<br>• Support audit processes by providing required documentation and explanations.<br>• Mentor less experienced analysts and contribute to their growth as needed.
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 meticulous and strategic Financial Analyst/Manager to join our team in Lewisville, Texas. This role is pivotal in driving financial planning and analysis, while supporting executive decision-making through insightful forecasting and modeling. The ideal candidate will have a strong background in finance, advanced analytical skills, and the ability to thrive in a fast-paced environment.</p><p><br></p><p><strong>Key Responsibilities:</strong></p><p>Own and maintain all short-term and long-term financial forecasts, including rolling forecasts and 1-, 3-, and 5-year long-range financial planning (LRF).</p><p>Develop and deliver executive-level presentations, translating complex financial data into clear, actionable insights for senior leadership.</p><p>Maintain and enhance the existing 3-statement model in Excel; focus will be on adjustments and scenario modeling (not full rebuilds).</p><p>Expertise with cash flow, liquidity, and leverage forecasting to inform capital strategy.</p><p>Serve as a key point of contact for private equity sponsors and internal executives, including after-hours responsiveness when needed.</p><p>Provide support and mentorship to one direct report and collaborate with two additional team members on ad hoc forecasting and reporting needs.</p>
We are in the process of recruiting a Financial Analyst to become a part of our healthcare team in Dallas, Texas. The selected individual will be tasked with a variety of functions, including financial planning and analysis (FP& A), data visualization, and financial modeling, among other things. <br><br>Responsibilities:<br><br>• Conduct financial planning and analysis tasks with a high level of accuracy<br>• Utilize advanced excel skills for financial computations<br>• Operate and manage enterprise financial systems<br>• Develop and present financial reports for senior management<br>• Use data visualization software, particularly Power BI<br>• Merge and manage data from various sources including management reporting and budgeting systems<br>• Handle large data sets and generate meaningful reports from them<br>• Conduct ad-hoc reporting as required by the organization<br>• Construct financial presentations for senior level management<br>• Perform light financial modeling tasks to support decision-making processes<br>• Utilize accounting software systems and CRM for financial tasks<br>• Employ data mining techniques for financial analysis<br>• Oversee various accounting functions and accrual accounting processes<br>• Participate in auditing and budget processes<br>• Contribute to capital management strategies within the organization.
<p>We are looking for an experienced Business Analyst to work on a contract basis to support a critical software conversion project for a client in the real estate industry. This contract position requires a skilled individual with expertise in lease data management, systems reconciliation, and post-migration validation. The role is based in Dallas, Texas, and offers an excellent opportunity to contribute to the success of a high-impact initiative. 100% ONSITE in Dallas, Texas. This is a 3 month contract position.</p><p><br></p><p><strong><u>Financial Business Analyst/Financial Analyst (contract position):</u></strong></p><p>Responsibilities:</p><p>• Extract lease data from existing systems and documents, ensuring all relevant information is accurately pulled.</p><p>• Cleanse data by removing duplicates, identifying expired leases, and standardizing naming conventions.</p><p>• Validate extracted data by reconciling it with source systems and verifying alignment with legal documents.</p><p>• Prepare templates and tools for data import into the staging environment, addressing system-specific constraints.</p><p>• Load data into the new system, monitor for errors, and resolve mismatches during the process.</p><p>• Conduct post-load validation by running reconciliation reports and verifying critical lease details.</p><p>• Ensure financial calculations, such as rent schedules and escalations, are accurately computed in the new system.</p><p>• Collaborate with end users to conduct user acceptance testing, simulating lease lifecycle events and confirming data integrity.</p><p>• Support property managers, lease administrators, and finance teams in reviewing and validating migrated data.</p><p>• Identify and resolve issues related to system limitations or unsupported data types during the migration process.</p>
We are looking for a skilled Financial Analyst to join our team in Allen, Texas. In this role, you will leverage your technical expertise and analytical skills to support financial decision-making and provide key insights into business performance. This position offers an exciting opportunity to work in a dynamic banking environment that values collaboration and innovation.<br><br>Responsibilities:<br>• Analyze financial data to identify trends, variances, and opportunities for improvement.<br>• Prepare detailed reports and presentations to support financial planning and decision-making processes.<br>• Collaborate with cross-functional teams to ensure accurate financial forecasting and budgeting.<br>• Utilize Oracle and other accounting software to streamline financial operations and reporting.<br>• Conduct audits and ensure compliance with accounting standards and regulations.<br>• Support capital management initiatives by analyzing investment opportunities and risks.<br>• Develop and implement data mining techniques to enhance financial insights and reporting capabilities.<br>• Monitor and improve accrual accounting processes to ensure accuracy and timeliness.<br>• Assist in optimizing budget processes and tracking expenditures against forecasts.<br>• Provide technical expertise to improve the efficiency of financial systems and tools.
<p>We are looking for a Senior Treasury Analyst to join our team in Fort Worth, Texas. The ideal candidate will bring expertise in treasury functions and a commitment to delivering exceptional service to both internal and external stakeholders.</p><p><br></p><p>Responsibilities:</p><p>• Develop and maintain cash flow forecasts, updating key variables such as working capital needs and borrowing costs.</p><p>• Prepare and process corporate loan draw requests, ensuring proper review, approval, and tracking of funds.</p><p>• Compile and review debt compliance packages, including financial updates, loan amendments, and contractual obligations.</p><p>• Manage and update investor banking instructions in systems like Juniper Square to ensure accurate and secure disbursements.</p><p>• Monitor investor capital call collections, providing detailed reporting and assisting with banking confirmations as needed.</p><p>• Track and project analysis fees for bank accounts, helping to prevent overdraft penalties.</p><p>• Conduct special financial analyses and projects to support broader treasury objectives.</p><p>• Deliver outstanding customer service to both internal teams and external partners.</p><p>• Perform additional treasury and finance-related tasks as assigned.</p><p><br></p><p>This corporate organization offers a competitive compensation package, including 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>Joe.Faradie</strong> at roberthalf com for confidential consideration.</p><p><br></p><p>Job Title: Senior Manager - Accounts Receivable</p><p>Work from Home on Friday</p><p><br></p><p>Job Summary: Our client in Plano is looking for an experienced and detail-oriented Senior Manager – Accounts Receivable to lead the full spectrum of AR functions, including Cash Application, Collections, and overall AR management. The ideal candidate will bring a solid accounting background with hands-on experience in E-Commerce and Big Box Retail sectors, and global experience is highly preferred. In this role, you will manage a small team while working collaboratively with Finance, Accounting, Sales, and Order Operations departments. The candidate should also have substantial expertise in handling Deductions/Short Pays and working with portal systems.</p><p>Key Responsibilities:</p><ul><li>Manage and oversee the entire Accounts Receivable process, including Cash Application, Collections, and AR functions.</li><li>Lead, mentor, and develop a small team to ensure efficient AR operations and continuous improvement in processes.</li><li>Collaborate closely with Finance, Accounting, Sales, and Order Operations teams to resolve any issues and streamline AR workflows.</li><li>Utilize deep expertise in Deductions/Short Pays, ensuring accurate and timely resolution of discrepancies.</li><li>Oversee the use of portals for AR processing and inquiries, ensuring optimal utilization and issue resolution.</li><li>Perform financial close activities, including account reconciliations, accruals, and related month-end/quarter-end/year-end tasks.</li><li>Analyze and manage AR aging reports, identifying trends and recommending strategies to reduce outstanding balances.</li><li>Prepare and present regular AR reports to leadership, focusing on key metrics and account statuses.</li><li>Ensure compliance with company policies, accounting principles, and industry standards while maintaining accurate records.</li></ul><p><strong><u>The Best Way to apply is to send Joe.Faradie at roberthalf com an updated resume</u></strong>. Please connect with me on linkedin</p>
We are offering an exciting opportunity for a Senior Manager Financial Reporting in the Real Estate & Property industry located in Dallas, Texas. As a Senior Manager Financial Reporting, you will handle a variety of tasks related to financial reporting, cash flow analysis, and consolidation of financial statements. This role will involve close collaboration with finance leaders across different lines of business and geographical locations.<br><br>Responsibilities:<br>• Manage the preparation of quarterly and annual consolidated statements of cash flows.<br>• In charge of reviewing various consolidated schedules that support the consolidated financial statements and footnote disclosures.<br>• Actively collaborate with controllers and finance leaders in each line of business and geography to comprehend material transactions and other drivers underlying key schedules and reports.<br>• Handle the cash flow implications of M& A, equity transactions, hedge accounting, leases, and other technical areas.<br>• Enhance the process of preparing consolidated cash flow through effective use of existing technology and standardization of inputs.<br>• Assist with projects in adjacent areas of controllership and financial reporting.<br>• Engage with the internal audit function during the testing of internal controls over financial reporting.<br>• Act as a point of contact for external audit requests related to cash flow and other deliverables.<br>• Utilize various Accounting Software Systems, including ADP - Financial Services, BlackLine, EPS, and ERP - Enterprise Resource Planning.<br>• Manage various accounting functions, including accounts payable and auditing.<br>• Monitor and handle balance sheet accounts and budget processes.
<p>We are in search of a Sr. Accounts Payable Manager to become a part of our client's IT Software team in Westlake, TX. In this role, you will be handling the accounts payable function in a complex environment with multiple systems and processes due to several acquisitions. Your focus will be on driving efficiency, ensuring compliance, and enhancing collaboration across various departments. Send resumes to Lauren McDowell.</p><p><br></p><p>Responsibilities:</p><p><br></p><p>• Foster a culture of excellence, accountability, and continuous improvement by leading and mentoring the accounts payable team.</p><p>• Implement training programs to enhance team skills and knowledge in accounts payable processes and systems.</p><p>• Identify inefficiencies in existing accounts payable processes and implement best practices for improved accuracy and efficiency.</p><p>• Standardize accounts payable procedures across acquired entities to ensure consistency and compliance.</p><p>• Manage the integration of diverse accounts payable systems resulting from acquisitions, ensuring seamless operations and accurate data flow.</p><p>• Collaborate with IT and finance teams to support system enhancements and upgrades that improve accounts payable processes.</p><p>• Ensure that accounts payable operations comply with relevant regulations, internal policies, and contractual obligations.</p><p>• Identify potential risks in the accounts payable process and develop strategies to mitigate those risks.</p><p>• Work closely with procurement, finance, and other relevant departments to streamline processes and resolve any discrepancies related to vendor payments.</p><p>• Serve as a key point of contact for internal stakeholders and external vendors, addressing inquiries and ensuring timely resolution of payment issues.</p><p>• Establish key performance indicators (KPIs) to measure the effectiveness and efficiency of accounts payable processes.</p><p>• Monitor and report on accounts payable performance, providing insights and recommendations to senior management.</p>
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>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>
<p>We are looking for a highly skilled Senior Accountant/Accounting Manager to oversee financial operations and reporting for our company in North Dallas, Texas. This role involves managing accounting processes, ensuring compliance, and providing accurate financial analysis. The ideal candidate will play a critical role in maintaining the integrity of financial data while supporting the retail division's operational success.</p><p><br></p><p>Responsibilities:</p><p>• Supervise the Accounts Payable specialist’s workload and ensure timely management of the AP mailbox.</p><p>• Record daily cash and credit card transactions across all relevant general ledger accounts.</p><p>• Analyze and review cash and accounts receivable transactions to support effective collections.</p><p>• Oversee weekly payment runs, including check processing and vendor remittances.</p><p>• Prepare and post journal entries as part of the monthly financial statement close process.</p><p>• Conduct thorough reconciliations and reviews of all balance sheet and bank accounts.</p><p>• Lead the monthly financial statement close process for the retail division, including preparation of journal entries and review of abnormal items.</p><p>• Address accounting system updates, including adding new accounts and store locations as needed.</p><p>• Maintain and validate general ledger data, including year-end closings and tax reporting schedules.</p><p>• Provide analytical problem-solving to enhance accounting processes and ensure desired outcomes are achieved.</p>
We are looking for a Tax Staff - Public to join our team in DALLAS, Texas. The primary function of this role is to handle various tax-related tasks in a well-organized and detail-oriented manner. The position is based in the public sector and includes responsibilities such as processing customer credit applications, maintaining accurate customer credit records, and resolving customer credit inquiries.<br><br>Responsibilities:<br>• Accurately process customer credit applications<br>• Maintain and update customer credit records regularly<br>• Address and resolve customer credit inquiries promptly<br>• Monitor customer credit accounts and take appropriate action to collect delinquent payments<br>• Utilize various software such as CCH ProSystem Fx, CCH Sales Tax, Gosystem, and Microsoft Excel to perform accounting functions<br>• Ensure compliance with tax regulations and standards<br>• Provide exceptional customer service in all interactions<br>• Perform auditing tasks as needed<br>• Manage cash activity effectively<br>• Work collaboratively with the team to ensure smooth operations.
<p>We are in search of a Sr. Billing Manager to join our client's IT Software team located in Westlake, TX. As a Sr. Billing Manager, you will be responsible for overseeing our billing operations, collaborating with various teams, and implementing strategic initiatives to enhance the efficiency of our billing processes. Send resumes to Lauren McDowell at Robert Half.</p><p><br></p><p>Responsibilities:</p><p>• Collaborate with IT and finance teams to implement system upgrades and enhancements that improve billing operations.</p><p>• Establish key performance indicators (KPIs) to measure the effectiveness and accuracy of billing processes.</p><p>• Evaluate current billing processes, identify inefficiencies, and implement best practices for enhanced accuracy and efficiency.</p><p>• Collaborate with Account Management and Sales teams to understand customer needs and ensure timely and accurate billing.</p><p>• Lead and mentor the billing team, fostering a culture of excellence, accountability, and continuous improvement.</p><p>• Ensure billing operations comply with relevant regulations, internal policies, and contractual obligations.</p><p>• Identify potential risks in the billing process and develop strategies to mitigate those risks.</p><p>• Develop and implement strategic initiatives to optimize billing processes that align with overall financial and operational goals.</p><p>• Monitor and report on billing performance, providing insights and recommendations to senior management.</p><p>• Serve as a key partner to Account Management and Sales teams to address customer inquiries, resolve billing disputes, and enhance overall customer satisfaction.</p>
We are on the lookout for a Treasury Analyst to join our team located in Irving, Texas. As a Treasury Analyst, you will be a key player in managing financial activities that include cash management, funding strategies, and risk management. This role is essential in ensuring that our financial operations run smoothly and efficiently.<br><br>Responsibilities:<br>• Oversee daily cash flow operations to ensure accuracy and timeliness<br>• Develop and implement funding strategies<br>• Assume responsibility for risk management activities<br>• Drive process improvements by collaborating with different departments<br>• Manage and reconcile bank statements<br>• Coordinate fund transfers between internal accounts and banking partners<br>• Provide expert insights on treasury tools, best practices, and payment technologies<br>• Foster and maintain relationships with banking partners<br>• Respond to audit requests promptly and efficiently<br>• Ensure compliance with internal policies and external regulations in all financial operations.
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.
<p>Robert Half Finance and Accounting and Kevin Sweet have partnered with a national entertainment and hospitality organization for a newly created Manager of Financial Planning and Analysis. This is a newly created role with significant visibility and impact, offering the opportunity to shape financial planning efforts across multiple business units within the organization. This is an exciting opportunity for an experienced finance professional who thrives on turning data into strategic insights and partnering across the business to drive results.</p><p><br></p><p>My client offers a hybrid work schedule, has beautiful offices, excellent benefits, and offering a competitive salary and annual bonus.</p><p><br></p><p>For additional information and consideration, please contact Kevin Sweet directly 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 the<strong> annual budgeting, quarterly forecasting, and long-range planning</strong> processes across multiple divisions.</li><li>Partner with cross-functional leaders (e.g., production, marketing, sales, operations) to evaluate business performance and identify opportunities for growth and operational efficiency.</li><li>Develop and maintain <strong>robust financial models</strong> to support scenario planning, investment decisions, and new business initiatives.</li><li>Analyze key business drivers, including <strong>viewership metrics, ticket sales, advertisement revenue</strong>, and <strong>production costs</strong>.</li><li>Prepare and deliver <strong>executive-level dashboards, reports</strong>, and <strong>board presentations</strong> that highlight performance and actionable insights.</li><li>Monitor and explain variances against budget/forecast and provide data-driven recommendations.</li><li>Act as a <strong>strategic liaison</strong> between Finance and key departments including Accounting, Strategy, and Business Development.</li><li>Drive enhancements to FP& A tools, reporting automation, and data integration processes.</li><li>Stay current on <strong>industry trends</strong>, competitor benchmarks, and emerging technologies to inform planning assumptions and strategic initiatives.</li></ul><p><br></p><p><strong>Qualifications</strong></p><ul><li>Bachelor’s degree in <strong>Finance, Accounting, Economics</strong>, or a related field; <strong>MBA or CPA</strong> strongly preferred.</li><li>5+ years of progressive FP& A experience, with a strong preference for candidates from <strong>entertainment, sports, or media</strong> sectors.</li><li>Advanced proficiency in <strong>Excel</strong> (modeling), <strong>PowerPoint</strong>, and experience with ERP and planning tools such as <strong>NetSuite</strong>, <strong>Power BI</strong>, or <strong>Tableau</strong>.</li><li>Strong financial acumen and ability to distill complex financial concepts for non-financial stakeholders.</li><li>Excellent communication, organizational, and project management skills.</li><li>Highly collaborative, self-motivated, and capable of operating effectively in a <strong>fast-paced, high-growth environment</strong>.</li></ul>
<p>We are looking for a Finance Director to join our team in Fort Worth, Texas. In this role, you will be integral in driving financial performance and making informed investment decisions. You will provide financial insights to business leaders, support engagements with authorities and major clients, and lead annual budget preparations.</p><p><br></p><p>Responsibilities:</p><p>• Collaboratively work with the management team to enhance financial performance and guide expansion initiatives.</p><p>• Offer strategic financial insights and guidance to business leaders, fostering informed decision making.</p><p>• Regularly deliver comprehensive reports on financial performance, key performance indicators, and variance analysis to the regional finance team.</p><p>• Perform financial analysis and feasibility assessments for potential investments and business expansion opportunities.</p><p>• Advocate for business propositions to senior leadership, while upholding financial integrity and independence.</p><p>• Facilitate engagements with airport authorities and major clients by providing support to the local management team.</p><p>• Lead the annual budget preparation process, financial projections, investment proposals, and cost-benefit analyses.</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>