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Accounting Manager

Job in Columbus, Franklin County, Ohio, 43215, USA
Listing for: Robert Half
Full Time position
Listed on 2026-08-31
Job specializations:
  • Accounting
    Financial Compliance, Accounting Manager, Financial Reporting
  • Finance & Banking
    Financial Compliance, Accounting Manager, Financial Reporting
Job Description & How to Apply Below

Accounting Manager

We are looking for an Accounting Manager to oversee core treasury and accounting operations for a multi-entity organization in Columbus, Ohio. This role combines hands-on financial management with team leadership, supporting cash activity, receivables, internal controls, and month-end reporting. The ideal candidate brings strong technical accounting knowledge, sound judgment, and the ability to improve processes while maintaining accuracy and compliance.

Responsibilities:

  • Direct daily cash activity, including monitoring balances and coordinating short-term financing or investment decisions based on operational needs.
  • Administer corporate banking relationships, safeguard account access, and oversee fraud-prevention controls such as payment security measures.
  • Lead the accounts receivable function, provide guidance to staff, and help ensure timely collections and accurate customer account activity.
  • Manage outgoing payments across entities, including checks and ACH transactions, while also maintaining company credit card and petty cash processes and preparing bank deposits.
  • Oversee accounting and finance systems, identify opportunities for improvement, and implement enhancements that strengthen efficiency and reporting accuracy.
  • Support member prepayment programs by calculating investment-related interest, preparing monthly statements, and issuing account summaries to participating parties.
  • Record monthly interest expense, develop interest-related budget inputs, and prepare quarterly debt activity schedules for consolidated reporting.
  • Supervise internal audit activities and staff, helping evaluate controls, document findings, and support compliance efforts.
  • Prepare cost allocation schedules, intercompany billings, lease accounting support for right-of-use assets and liabilities, and audit-ready analyses for annual financial reviews.
  • Complete required state unclaimed property filings, train cross-functional backup support for key duties, and assist with additional accounting assignments as needed.
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