Accounting Manager
Listed on 2026-06-26
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Finance & Banking
Financial Compliance, Financial Manager, Accounting Manager -
Management
Financial Manager
Employer:
Republic Business Credit, a subsidiary of Renasant Bank
This position serves Republic Business Credit which is a subsidiary of Renasant Bank. The Accounting Manager will serve as a key financial partner at Republic Business Credit (“Republic” or “RBC”), overseeing the integrity of financial reporting, internal controls, and compliance while providing strategic support across the organization. Working closely with the Controller and President, the Accounting Manager will ensure the accuracy and timeliness of all financial statements, borrowing base submissions, and regulatory reporting.
The Accounting Manager will maintain Republic’s relationships with the Bank, ensuring transparent communication. Additionally, the Accounting Manager will oversee SOX controls, manage third‑party risk, and lead the day‑to‑day operations of the finance and accounting team.
The Accounting Manager will be instrumental in maintaining the financial health and control environment of Republic Business Credit, ensuring accurate reporting, regulatory compliance, and effective management of the company’s financial operations.
REPUBLIC BUSINESS CREDIT AND RENASANT BANK ARE EQUAL OPPORTUNITY EMPLOYERS
- As a key member of Republic’s finance team, the Accounting Manager will uphold the highest standards of financial integrity and professionalism, both internally and in dealings with external stakeholders including banks, auditors, and third‑party partners. This position is expected to:
- Oversee the preparation of accurate and timely monthly financial statements, borrowing base submissions, and management reporting, ensuring full compliance with Senior Debt provider requirements.
- Partner closely with the Controller and President to support financial planning, budgeting, forecasting, and strategic business initiatives including acquisitions and due diligence.
- Lead and develop the finance and accounting team, establishing clear goals and accountability frameworks while supporting professional growth and fostering a culture of accuracy and continuous improvement.
- Maintain data integrity across all financial systems, ensuring operational data from Factorsoft is accurately reflected in the accounting system and financial statements, and that all records are current and audit‑ready.
- Serve as the primary liaison with Republic’s banking partners on all credit facility matters, including daily borrowing base submissions, covenant compliance, and ad‑hoc reporting requests.
- Oversee the SOX controls framework, ensuring ongoing documentation, testing, and compliance across all key financial reporting processes, and coordinate with internal and external auditors as necessary.
- Manage third‑party risk for overseas relationships, including ongoing due diligence and monitoring of international counter parties, and serve as the primary point of contact with the Bank regarding overseas exposure and related compliance requirements.
- Ensure all accounting operations adhere to applicable regulations, GAAP standards, and internal policies, staying current on relevant regulatory developments and best practices in financial management.
- Preparation of monthly management financial statements, including supporting account reconciliations, and presentation of such to leadership. This will include administrative maintenance of the accounting system and ensuring adequate record keeping.
- Preparation and submission of borrowing base to Renasant Bank bimonthly, including liaison with Operations team over contents.
- Maintain budgets and forecasts, updating monthly as appropriate. Address key budget concerns with the Controller and President.
- Manage Accounts Payable and key vendor relationships ensuring that prompt payment is made on valid accounts payable.
- Oversee cash reconciliation across all bank accounts and multiple operating software platforms, ensuring accuracy, consistency, and timely resolution of any variances. Work closely with the Operations team to identify and resolve any system outages or data discrepancies in a timely manner.
- Ensure payroll operates on bi‑weekly basis smoothly, providing payroll Bank with required information.
- Manage…
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