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Senior Accountant
Job in
Nashville, Davidson County, Tennessee, 37247, USA
Listed on 2026-09-30
Listing for:
Flourish Ventures
Full Time
position Listed on 2026-09-30
Job specializations:
-
Finance & Banking
Financial Reporting, Financial Analyst, Financial Compliance, Accounts Receivable/ Collections -
Accounting
Financial Reporting, Financial Analyst, Financial Compliance, Accounts Receivable/ Collections
Job Description & How to Apply Below
- Senior Accountant Department
- Finance Reporting Line
- Reports to the Finance Manager Role Purpose
The Senior Accountant will be responsible for supporting the organisation's financial reporting, revenue accounting, project financial management, investor reporting, reconciliations, financial controls, and audit requirements across multiple entities and jurisdictions.
The role will work closely with Finance, Project, Commercial, Operations, Investment, and other teams to ensure accurate financial information, effective financial controls, timely reporting, and strong finance business partnering.
Key Responsibilities 1. Revenue & Receivables- Manage revenue accounting and ensure revenue is accurately recognised in the appropriate accounting periods.
- Maintain revenue schedules and perform revenue reconciliations.
- Monitor invoicing, collections, receivables, and outstanding balances.
- Work with commercial and project teams to resolve billing and collection issues.
- Monitor revenue performance against budgets, milestones, forecasts, and contractual expectations.
- Maintain appropriate supporting documentation and reconciliations for all bad debt provisions and write-offs.
- Review contracts for potential deals to ensure revenue, tax requirements, billing terms, and project milestones are clearly defined and adequately documented to support accurate revenue recognition and external audit requirements.
- Set up new projects in the finance/ERP system, including project codes, budgets, cost centres, and relevant financial parameters.
- Monitor project budgets against actual expenditure and revenue.
- Prepare regular Budget vs Actual (BVA) reports and variance analysis.
- Work with project teams to explain significant variances and identify potential cost overruns.
- Support project forecasting, including projected costs, revenue, and project completion positions.
- Ensure project costs are correctly coded, allocated, and supported.
- Support project close-out and final financial reconciliations.
- Prepare monthly, quarterly, and annual investor reporting in line with agreed requirements.
- Maintain investor reconciliations, schedules, and supporting documentation.
- Coordinate with internal teams to obtain information required for investor reporting.
- Respond to investor financial queries and ensure timely resolution of reporting issues.
- Maintain strong finance business partnerships with investors and relevant stakeholders.
- Support preparation of ad hoc investor analysis and financial information requests.
- Support monthly, quarterly, and annual financial close processes.
- Prepare and review receivables, intercompany, revenue, project, investor, and balance sheet reconciliations.
- Prepare and post appropriate month-end journals, including Revenue, accruals, prepayments, provisions, and reclassifications.
- Investigate and clear aged or unexplained reconciling items.
- Support management reporting, financial analysis, and forecasting.
- Manage project creation and other finance master data within the ERP/accounting system.
- Manage finance approval workflows and ensure transactions follow the appropriate approval processes.
- Support onboarding of new finance users and coordinate system access and permissions.
- Resolve system, workflow, and accounting process issues in collaboration with Finance and IT.
- Support finance system improvements, automation, and process optimization.
- Identify opportunities to improve efficiency and reduce manual processes.
- Support external, statutory, internal, tax, investor, and other audits across multiple jurisdictions.
- Prepare audit schedules, reconciliations, and supporting documentation.
- Coordinate responses to audit queries and track outstanding requests.
- Ensure compliance with finance policies, accounting standards, approval requirements, and internal controls.
- Identify control gaps and support implementation of corrective actions.
- Maintain an audit-ready finance environment.
- Revenue
- Build strong working relationships with Commercial, Project, Operations, and other relevant teams to support effective revenue management.
- Partner with relevant stakeholders to ensure accurate revenue forecasting, recognition, invoicing, and collection monitoring.
- Provide financial insights and guidance on revenue performance, variances, risks, and…
Position Requirements
10+ Years
work experience
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