Corporate Accounting Manager. White Settlement Move Collective
Listed on 2026-06-03
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Accounting
Financial Reporting, Accounting Manager -
Finance & Banking
Financial Reporting, Accounting Manager
Job Type: Full-time
Description:
Join our expanding team!
Venturi Supply is the parent company to a national network of distributors specializing in pipe, valves, fittings, tanks, and industrial supplies, proudly serving a wide range of industries. With deep local roots and national reach through the Venturi Supply platform, our mission is to deliver the critical materials, custom solutions, and reliable service our customers depend on.
At the heart of everything we do is our people. From the shop floor and counter to the job site and field, it's our team's expertise, commitment, and problem‑solving mindset that set us apart. Their dedication fuels our service, drives our accuracy, and ensures every order is handled with care and urgency.
Backed by strategically located branches, a vast inventory, in‑house fabrication capabilities, and decades of real‑world experience, our teams connect infrastructure and industry to the essential resources they need to operate safely, efficiently, and successfully. We're more than a distributor— we’re a trusted partner built on strong relationships, operational know‑how, and a relentless focus on customer success.
Role OverviewWe are seeking a highly skilled Corporate Accounting Manager to join our dynamic finance team. This role involves overseeing all areas of accounting, ensuring accuracy in financial reporting, and maintaining compliance with GAAP standards. The Manager will play a key role in leading the accounting department, producing insightful financial analyses, and driving the overall financial strategy of the organization.
Responsibilities- Manage the daily operations of the accounting department, specifically the general ledger accounting team.
- Prepare monthly, quarterly, and annual financial statements in compliance with GAAP.
- Conduct comprehensive account reconciliations to ensure the accuracy of financial reports.
- Oversee the preparation and analysis of the balance sheet and bank reconciliation.
- Review and ensure timely filing of sales and use tax.
- Implement financial policies, procedures, and internal controls to maintain regulatory compliance.
- Assist with the annual audit process, coordinating with external auditors and ensuring all requirements are met.
- Prepare cash forecasts and analyses of financial variances to support strategic decision-making.
- Provide mentorship and development opportunities for accounting staff to enhance their skills and performance.
- Collaborate with other departments to offer financial insights and support cross‑functional projects.
- Stay updated on industry developments and changes in accounting regulations.
- Perform additional duties as assigned or required.
- Bachelor's degree in Accounting or Finance.
- CPA required.
- 7+ years of experience in accounting or finance, with specific experience in wholesale or distribution sectors, and at least 3 years in a managerial position.
- Strong knowledge of GAAP, tax regulations, and compliance standards.
- Proficiency in accounting software and ERP systems (Epicor products (Eclipse, Prophet
21 is a plus) and Microsoft Office Suite (Excel, Word). - Exceptional analytical, problem‑solving, and organizational skills.
- Excellent leadership and communication abilities, capable of interacting with various levels of the organization.
- Proven ability to manage multiple priorities and meet deadlines in a fast‑paced environment.
- Advanced experience with audits and ERP systems, especially Epicor (Eclipse, Prophet
21) preferred. - Excited to navigate a fast‑paced, changing environment.
- Strategic thinker who engages in hands‑on work.
- Strong attention to detail and skill in analyzing datasets.
- Experience in account reconciliation, accounting management, and accounts payable.
- Proficient in financial accounting, reporting, and general ledger accounting.
- Knowledgeable in balance sheet analysis and bank reconciliation.
- Competent in project management and revenue recognition.
- Ability to participate in project work.
- Ability to pass a background check, MVR check, and drug test.
- Benefits begin on the first of the month following 30 days of employment.
- Exceptional Health Coverage:
- Two medical plans, including HSA‑qualified, with…
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