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Senior Accountant

Job in Montgomery, Montgomery County, Alabama, 36136, USA
Listing for: Channel Fusion
Full Time position
Listed on 2026-07-31
Job specializations:
  • Accounting
    Financial Reporting, Financial Compliance
  • Finance & Banking
    Financial Reporting, Financial Compliance
Salary/Wage Range or Industry Benchmark: 70000 - 95000 USD Yearly USD 70000.00 95000.00 YEAR
Job Description & How to Apply Below

Channel Fusion is transforming from a services-heavy channel marketing company into a product-led, AI-enabled platform business. As we scale, our Finance function needs to scale with it — with clean books, tight close cycles, and accounting infrastructure that can support a growing, increasingly complex organization.

The Senior Staff Accountant will own core accounting operations for Channel Fusion — month-end close, account reconciliations, payroll reconciliation, capitalized labor and fixed assets, and recurring tax compliance filings — reporting directly to the Director of Finance. This is a hands-on, high-ownership role for someone who wants to run their piece of the close, not just execute tasks inside it.

What You Own
  • Reconciliations & Month-End Close — Prepare monthly balance sheet reconciliations for all accounts, resolve reconciling items timely, and own the month-end close checklist and calendar. Prepare and post journal entries, including accruals, prepaids, and amortization
  • Banking Execution — Perform bank reconciliations across multiple accounts. Execute internal fund transfers directing client payments to the correct accounts, based on instructions from the payments team, following established authorization and verification procedures.
  • Capitalized Labor & Fixed Assets — Track and calculate capitalized labor. Maintain fixed asset registers and amortization schedule
  • Payroll Reconciliation — Support payroll processing and reconciliation. Reconcile payroll registers to the general ledger and assist with benefits and deduction reconciliations
  • Recurring Tax & Compliance Filings — Prepare and file sales and use tax returns and other recurring compliance filings on schedule
  • Financial Reporting Support — Assist in preparing and reviewing monthly financial statements. Flag variances and unusual items to the Director of Finance
  • Billing & AP Accuracy — Review billing entries and accounts payable transactions for accuracy, completeness, and proper coding, partnering with the billing team to resolve discrepancies
What You Do NOT Own
  • Tax strategy and complex/annual tax fili
    ngs — Owned by the Director of Finance and outside tax/CPA firm. You own recurring, routine filings (e.g., sales and use tax) on an established cadence
  • Final financial statement sign-off — Owned by the Director of Finance. Your job is accurate preparation and clear variance flagging, not final certification
  • Banking authorization limits and procedures — Owned by the Director of Finance. You execute transfers within established, pre-approved authorization and verification procedures — you do not set or modify them
  • Billing terms and pricing — Owned by the billing team. You review entries for accuracy and coding, not commercial terms
  • Payroll policy and benefits plan design — Owned by HR/People. You reconcile payroll and benefits deductions to the general ledger; you do not set policies
  • Budget approval — Owned by the Director of Finance
Qualifications Requirements

Bachelor's degree in Accounting, or equivalent practical experie

4+ years of general accounting experience, with demonstrated readiness for broader scopes.

Strong working knowledge of GAAP

Hands-on experience with month-end close and account reconciliations

High attention to detail and a strong sense of owners

Comfortable working independently and proactively raising issues

Preferred

Experience with payroll systems (Rippling or similar)

Prior experience in a company managing multi-entity or multi-account banking structures.

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Position Requirements
10+ Years work experience
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