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14 results for Accounting Manager in Atlanta, GA

Accounting Manager We are offering a permanent employment opportunity for an Accounting Manager in ATLANTA, Georgia. As an integral part of our team, you will be primarily responsible for managing various accounting functions, preparing financial reports, and delivering actionable insights based on complex financial data. Your role will also involve process improvement for efficiency in accounting operations and collaboration with cross-functional teams to optimize the use of ERP systems and financial tools. <br> Responsibilities: • Overseeing the execution of accounting functions in compliance with GAAP principles • Analyzing and presenting financial reports to key stakeholders • Recommending strategic actions based on financial analysis and modeling • Ensuring timeliness and accuracy in managing month-end and year-end close processes • Designing and implementing process improvements for greater efficiency in accounting operations • Collaborating with cross-functional teams to optimize the use of ERP systems and financial tools • Providing guidance and promoting detail-oriented growth among accounting staff • Using Accounting Software Systems, ERP - Enterprise Resource Planning, Auditing, US GAAP, Financial Analysis, Balance Sheet Reconciliation, Bank Reconciliations, SAP, NetSuite, Oracle, Microsoft Dynamics 365 Business Central, Power BI, Microsoft Excel effectively for various tasks Fund Accounting Manager - Growth!! New Role (Luv) <p>Are you a <strong>detail-driven accounting professional</strong> with a passion for fund accounting? Do you thrive in a <strong>collaborative, fast-paced environment</strong> where your expertise directly impacts financial strategy? </p><p><br></p><p><strong><em><u>Fund Accounting Manager</u></em></strong></p><p><br></p><p>If you're looking for a <strong>high-visibility leadership role</strong> in a company that values innovation, flexibility, and career growth—this is it!</p><p><br></p><p><strong><u>Why This Role?</u></strong></p><p>✅ <strong>A leadership opportunity</strong> – manage and mentor a team while shaping key financial processes.</p><p> ✅ <strong>Culture-first company</strong> – collaborative, forward-thinking, and growth-oriented.</p><p> ✅ <strong>Flexible hybrid work environment</strong> – work-life balance is a priority.</p><p> ✅ <strong>Make an impact</strong> – work directly with senior leadership and key stakeholders.</p><p><br></p><p><strong><u>What You’ll Be Doing:</u></strong></p><ul><li><strong>Oversee fund accounting operations</strong>, including financial reporting, reconciliations, and audit preparation.</li><li><strong>Lead and mentor a team</strong>, fostering professional development and process improvement.</li><li><strong>Ensure compliance</strong> with accounting standards, regulatory requirements, and internal controls.</li><li><strong>Manage cash flow, capital calls, and investor reporting</strong>, providing clear and timely financial insights.</li><li><strong>Develop and refine accounting policies</strong> to enhance accuracy, efficiency, and transparency.</li><li><strong>Collaborate with leadership and cross-functional teams</strong> to support strategic financial planning.</li></ul><p>**Send Resumes to <strong><em>Luv Mirani</em></strong></p> Accounting Manager- (LUV) <p>Are you an <strong>experienced accounting professional</strong> looking for a leadership role in a <strong>collaborative, high-performing team</strong>? Do you have a strong foundation in public accounting, and a passion for <strong>inventory and cash management</strong>? If so, this is an incredible opportunity to take your career to the next level!</p><p><br></p><p><strong>Why You’ll Love This Role</strong></p><p>This isn’t just another accounting job—it’s a chance to <strong>make an impact, mentor a team, and work alongside an incredible hiring manager</strong> who values growth, collaboration, and innovation. You’ll join an organization with a <strong>strong culture of teamwork, excellence, and continuous improvement</strong>, all while enjoying a <strong>hybrid work environment</strong> in Alpharetta.</p><p><br></p><p><strong>What You’ll Be Doing:</strong></p><ul><li><strong>Oversee inventory and cash management</strong> processes, ensuring accuracy and efficiency.</li><li><strong>Lead and mentor two accounting team members</strong>, providing guidance, support, and professional development.</li><li><strong>Own the month-end close process</strong> related to inventory and cash, ensuring compliance with GAAP.</li><li><strong>Collaborate with cross-functional teams</strong> to enhance financial processes and reporting.</li><li><strong>Identify and implement process improvements</strong> to drive efficiency and accuracy.</li></ul><p>**Send Resumes to <strong>Luv Mirani</strong></p> Tax Analyst/Manager/Director We are offering an exciting opportunity in the renewable energy industry, based in Atlanta, Georgia. The role, a Tax Analyst/Manager/Director, will involve handling a variety of accounting functions and auditing tasks, with a focus on compliance and customer service. This position also requires proficiency in various accounting software systems.<br><br>Responsibilities:<br>• Accurately process and manage customer credit applications.<br>• Maintain and update customer credit records with high attention to detail.<br>• Resolve customer inquiries in a timely and detail-oriented manner.<br>• Monitor customer accounts and take necessary actions when required.<br>• Ensure compliance with financial standards and regulations.<br>• Conduct regular audits to ensure accuracy and integrity of financial data.<br>• Proficiency in using Accounting Software Systems, ADP - Financial Services, BlackLine, CCH ProSystem Fx, and CCH Sales Tax.<br>• Prepare and maintain documentation related to accounting functions.<br>• Provide excellent customer service to clients and stakeholders.<br>• Effectively use ADP - Financial Services and BlackLine to manage financial data. Payroll Manager Job Description: Payroll Manager with Workday Experience Position Overview: We are seeking an experienced Payroll Manager with advanced Workday expertise to oversee payroll operations and ensure compliance, efficiency, and accuracy in all payroll processes for our organization. The ideal candidate will bring deep knowledge of payroll systems, particularly Workday, and a strong understanding of relevant regulations, as well as a proven ability to manage a high-performing team. Key Responsibilities: Payroll Administration and Processing: Oversee the accurate and timely processing of payroll for all employees, including regular, overtime, special payments, and deductions (Source: SG25 US Human Resources.docx). Manage payroll runs, ensuring compliance with federal, state, and local regulations related to tax reporting, recordkeeping, and payroll policies (Source: SG25 US Human Resources.docx). Workday Payroll Management: Leverage Workday software for payroll processing, audits, financial reporting, and integration with other HR systems (Source: SG25 US Human Resources.docx). Troubleshoot system issues, perform updates, and recommend enhancements to streamline workflow and optimize software functionality (Source: SG25 US Human Resources.docx). Compliance and Audit: Ensure all payroll operations adhere to legal requirements, including tax compliance, wage/hour laws, and other regulations (Source: SG25 US Human Resources.docx). Conduct regular audits and reviews to identify discrepancies and resolve errors promptly (Source: SG25 US Human Resources.docx). Team Leadership and Development: Supervise and mentor payroll team members, providing training, guidance, and career development opportunities (Source: SG25 US Human Resources.docx). Foster a culture of accountability, continuous improvement, and customer service excellence in payroll operations (Source: SG25 US Human Resources.docx). Cross-Functional Collaboration: Collaborate with HR, finance, and IT teams to align payroll operations with broader organizational goals and initiatives (Source: SG25 US Human Resources.docx). Partner on strategic projects such as system upgrades, policy changes, new permanent integration, or benefits enrollment periods (Source: SG25 US Human Resources.docx). Reporting and Analysis: Prepare and analyze payroll reports to assist in company labor expense planning, budgeting, and workforce cost forecasting (Source: SG25 US Human Resources.docx). Use Workday reporting tools to provide insights and recommendations to leadership teams (Source: SG25 US Human Resources.docx). FP&A Manager- Growth (Luv) <p>Are you an <strong>analytical, strategic finance professional</strong> looking for an opportunity to lead and make a real impact? Do you thrive in a <strong>collaborative, high-growth environment</strong> where innovation and flexibility are valued? </p><p><br></p><p>This <strong>FP& A Manager</strong> role offers a chance to take ownership, drive financial insights, and mentor a team member while working in a company that truly values its people.</p><p><br></p><p><strong>Why You’ll Love This Role</strong></p><ul><li><strong>Culture-first environment</strong> – a team that supports, collaborates, and celebrates wins together.</li><li><strong>Work-life balance</strong> – enjoy a flexible schedule and hybrid work setup.</li><li><strong>Opportunity to lead</strong> – manage and develop one direct report while partnering with senior leadership.</li><li><strong>Strategic impact</strong> – work closely with leadership to influence decision-making and financial strategy.</li></ul><p><strong>What You’ll Be Doing:</strong></p><ul><li><strong>Own the budgeting, forecasting, and financial modeling</strong> processes, providing insights that drive business growth.</li><li><strong>Analyze financial performance</strong> and provide recommendations to improve profitability and operational efficiency.</li><li><strong>Lead the month-end and quarter-end financial review process</strong>, ensuring accurate and timely reporting.</li><li><strong>Collaborate with cross-functional teams</strong> to support strategic planning and decision-making.</li><li><strong>Manage and mentor one FP& A team member</strong>, fostering growth and development</li></ul><p>**Send Resumes to<strong> Luv Mirani</strong></p> Controller We are in search of a Controller who will be a valuable addition to our team located in Cumming, Georgia, 30040, United States. In this role, you will be expected to manage our company's financial operations, including overseeing Accounts Payable (AP), Accounts Receivable (AR), auditing, budget processes, and month-end close. You will be instrumental in maintaining the general ledger, managing journal entries, and using Sage 300 and Microsoft Excel for various tasks. This role offers a long term contract employment opportunity.<br><br>Responsibilities:<br><br>• Oversee and manage all aspects of the Accounts Payable (AP) and Accounts Receivable (AR) processes.<br>• Ensure the accuracy and efficiency of auditing processes.<br>• Contribute to the development and execution of budget processes.<br>• Oversee the month-end close process, ensuring all financial data are accurately recorded.<br>• Maintain the general ledger, ensuring all financial data is up-to-date and accurate.<br>• Prepare and record detailed journal entries as part of the company's financial record-keeping process.<br>• Utilize Sage 300 for various financial operations and tasks.<br>• Use Microsoft Excel to track, analyze, and report on financial data. Staff Accountant <p>We are offering an opportunity for a Staff Accountant in our manufacturing unit located in Winder, Georgia. The role involves assisting in the development and maintenance of accounting policies and procedures, as well as handling various accounting activities including account reconciliations, financial reporting, and year-end audit preparation. The Staff Accountant is responsible for assisting in the development and maintenance of accounting policies and procedures. This position assists with the preparation of financial analysis reports, collecting pertinent audit information, preparing general ledger entries, and supporting budgets and forecast activities. Additionally, this position performs various accounting activities including account reconciliations, financial reporting, and year-end audit preparation. Assist with creation and distribution of 1099s to vendors. </p><p><br></p><p>Responsibilities:</p><p>• Assisting with the preparation of financial analysis reports and collecting relevant audit information</p><p>• Ensuring compliance with accounting principles, internal controls, and regulatory requirements</p><p>• Assisting with the creation and distribution of 1099s to vendors and confirming all transactions are categorized correctly</p><p>• Collaborating with the team to complete financial audits and provide necessary documentation</p><p>• Preparing general ledger entries and supporting budgets and forecast activities</p><p>• Updating accounting procedures and recommending modifications as necessary</p><p>• Providing back up support to other accounting team members as needed</p><p>• Posting AR invoices and communicating with customers regarding past due payments</p><p>• Participating in educational opportunities, reading detail-oriented publications, and maintaining personal networks for job knowledge enhancement </p><p>• Assisting with vendor purchase receipts and customer invoices</p><p>• Reconciling Bank Accounts and researching discrepancies and chargebacks</p><p>• Supporting team regarding periodic inventory counts and audits</p><p>• Responding to inquiries from the CFO, Controller, and other department managers regarding financial results, ad-hoc requests, etc.</p> CFO <p><strong>CHIEF FINANCIAL OFFICER - Private Equity Backed Medical Device Company</strong></p><p>An established and rapidly growing <strong>medical device company</strong> is seeking a strategic, hands-on <strong>Chief Financial Officer (CFO)</strong> to lead financial operations and drive business performance. Backed by a leading <strong>private equity firm</strong>, the company is entering a new phase of expansion—requiring a CFO with proven experience in scaling organizations, executing M& A, and optimizing capital structure. This is a high-impact leadership role offering broad responsibility, close collaboration with executive leadership and investors, and significant influence over the company’s growth trajectory.</p><p><br></p><p><strong>Key Responsibilities</strong></p><ul><li>Lead all aspects of <strong>financial planning, forecasting, and performance analysis</strong>, ensuring alignment with business goals.</li><li>Oversee <strong>accounting, reporting</strong>, and regulatory compliance; ensure GAAP adherence and audit readiness.</li><li>Support and lead <strong>M& A activities</strong> including due diligence, financial modeling, deal execution, and integration.</li><li>Manage the company’s <strong>capital structure</strong>, optimize debt/equity strategy, and maintain financial flexibility.</li><li>Develop and execute a <strong>tax strategy</strong>, leveraging NOLs and ensuring full compliance across jurisdictions.</li><li>Partner directly with the <strong>CEO, President, and Board</strong>, offering clear, data-driven insights to guide strategic decisions.</li><li>Build, lead, and mentor a <strong>high-performing finance team</strong>, fostering a culture of accountability and continuous improvement.</li></ul><p><br></p> Payroll Specialist <p><strong>PAYROLL SPECIALIST - Growth position, future managerial opportunity </strong></p><p>My client, a manufacturer located south of Atlanta is seeking a <strong>Payroll Specialist </strong>to join their team for an immediate, direct hire opportunity. This role will be responsible for inputting and maintaining hourly payroll, which includes updating and changing files in accordance to new hires, changes, and terminations. This role will remotely report to a Payroll Manager in a regional office outside Atlanta. </p><p><br></p><p><strong> DUTIES AND RESPONSIBILITIES: </strong></p><ul><li>Input and maintain salaried payroll data including new hires, changes, and terminations for approximately 500+ employees across the US. Ensure compliance and internal controls.</li><li>Responsible for full cycle payroll processing on a biweekly schedule.</li><li>Investigate and resolve employee payroll questions as required</li><li>Act as backup to other payroll specialists within department.</li><li>Assist hourly employees with various benefit inquiries.</li><li>Ensure benefit forms are completed accurately and eligibility is in compliance.</li><li>Monitor third-party benefits administration of COBRA.</li><li>Provide FMLA and other leave of absence administration support to operations.</li><li>Complete bi-weekly general ledger interface for accounting.</li><li>Complete month-end tasks as assigned.</li></ul><p><br></p> SAP IBP Manager <p>We are seeking a strategic and experienced IT leader to drive the implementation and optimization of SAP S/4HANA ERP solutions for our Building Products operations. This role will focus on <strong>Integrated Business Planning (IBP) and Production Scheduling</strong>, working closely with order management, operations, and supply chain teams to create seamless, efficient, and scalable end-to-end business processes. The ideal candidate will bring deep expertise in <strong>SAP IBP and ePP/DS</strong>, a solid understanding of supply chain and production planning processes, and experience <strong>leading IT professionals</strong> through major system transformations. Strong leadership, communication, and stakeholder management skills are essential to success in this role.</p><p><br></p><p><strong>Key Responsibilities:</strong></p><ul><li>Lead and manage a cross-functional team, fostering a high-performance culture focused on knowledge sharing and continuous improvement.</li><li>Act as the primary liaison between <strong>Planning, Production Scheduling, and IBP leadership</strong> and IT capabilities.</li><li>Partner with business and technology stakeholders to define, implement, and support SAP-driven solutions that enhance operational efficiency and business performance.</li><li>Oversee system configurations, integrations, and middleware connections to ensure smooth <strong>order-to-cash</strong> workflows.</li><li>Drive strategic decisions on technology investments, system enhancements, and business process optimizations.</li><li>Communicate changes, updates, and business requirements to relevant teams, ensuring alignment and smooth execution.</li><li>Conduct research and cost-benefit analyses for technology solutions, identifying the best approach for implementation.</li><li>Provide expert guidance on deployment strategies, cutover planning, and impact assessments for system changes.</li><li>Demonstrate a high level of <strong>ownership, initiative, and urgency</strong> in delivering solutions in a fast-paced, dynamic environment.</li></ul><p><strong>Location & Work Model:</strong></p><ul><li><strong>Hybrid – Based in Atlanta, GA</strong></li><li><strong>Relocation assistance available</strong></li></ul> Controller <p><strong>CONTROLLER - Privately Held Manufacturer in Lawrenceville</strong></p><p> Robert Half is seeking a hands-on <strong>Controller</strong> with a strong background in manufacturing finance to oversee and guide the financial health of our client's production site. As the Controller, you will play a pivotal role in fostering a collaborative environment, ensuring financial accuracy, and supporting strategic decision-making that drives growth and efficiency. This is an exciting opportunity for someone ready to make an impact through leadership, financial insight, and continuous improvement. The Controller is responsible for managing all financial aspects of a manufacturing facility, ensuring accurate and timely financial reporting, compliance with accounting policies, and adherence to GAAP. This role will lead the monthly closing process, oversee financial analysis, support forecasting, and provide critical insights to drive business performance. You will partner with leadership to optimize productivity, implement lean manufacturing strategies, and improve key performance indicators (KPIs) that contribute to operational success.</p><p><br></p><p><strong>Key Responsibilities:</strong></p><ul><li>Oversee and manage the monthly, quarterly, and annual closing processes, ensuring all financials are reconciled in accordance with company policies and GAAP.</li><li>Prepare and review financial statements, variance analyses, and balance sheet reconciliations.</li><li>Ensure compliance with SOX controls and company policies, managing internal and external audits as needed.</li><li>Lead the preparation and execution of the annual operating plan and forecasting processes.</li><li>Provide financial insights to manufacturing leadership, driving cost-saving initiatives and productivity improvements.</li><li>Collaborate with cross-functional teams to track and analyze lean manufacturing activities and KPIs.</li><li>Support continuous improvement initiatives through financial oversight of lean projects, from planning to execution.</li><li>Act as an advisor to the local leadership team, offering guidance and solutions to business challenges.</li><li>Lead, develop, and manage the Finance team, setting clear goals and supporting professional growth.</li><li>Foster a positive work environment, motivating and inspiring team members to achieve high performance.</li><li>Promote employee engagement to ensure the continuity and success of the business.</li><li>Uphold company values by adhering to the mission, vision, and code of conduct.</li><li>Perform other duties as assigned.</li></ul><p><br></p> Controller <p><strong>CONTROLLER - New Manufacturing Facility in Hall County</strong></p><p>My client, a manufacturer in Hall County, is seeking a detail-oriented and proactive <strong>Controller</strong> to join their dynamic team in Hall County. The Controller role will support key manufacturing financial operations under the direction of the Head of Finance & Controlling. As the Controller, you will be responsible for overseeing cost analysis, budgeting, financial reporting, and driving process improvements to optimize operational efficiency.</p><p><br></p><p><strong>Key Responsibilities</strong>:</p><ul><li>Develop and maintain a standard costing approach, performing variance analysis with leadership</li><li>Harmonize labor and machine hourly rate calculations</li><li>Manage and report on capital expenditures monthly</li><li>Maintain and update cost center and work center data structures and settlement rules</li><li>Support the budgeting process, including COGS, operating expenses, and non-manufacturing costs</li><li>Oversee inventory management and monthly reporting on obsolete inventory</li><li>Lead accurate and timely closing procedures</li><li>Support balance sheet reconciliations and audits</li><li>Drive cost reduction initiatives and process improvements within the team</li><li>Support manufacturing accounting improvements and the application of accounting policies and procedures</li><li>Facilitate internal and external audits by providing necessary documentation and support</li></ul><p><br></p> Controller <p><strong>CONTROLLER - Growth Oriented International Company in Lawrenceville</strong></p><p>We are offering an exciting opportunity for a <strong>Controller</strong> in the financial industry, based in Lawrenceville, Georgia. In this role, you will be a key financial partner, working closely with several teams including finance, tax, legal, commercial, and operations. You will provide critical insights and make significant decisions by managing risks, internal controls, revenue reporting, and balance sheet optimization. This position also allows for cross-functional interactions and offers a vibrant community of financial controllers and leaders eager to share knowledge and grow together.</p><p><br></p><p><strong style="">Responsibilities:</strong></p><ul><li>Collaborate with the Finance Controls and Risks team to support any controls related activities</li><li>Assist the regional leadership team with ad hoc projects and defending accounting, reporting, and controllership matters</li><li>Deliver insightful, timely, and accurate balance sheet and cash flow reports</li><li>Manage and communicating balance sheet risks effectively</li><li>Oversee the delivery of accurate cash flow forecasting and cash flow reporting</li><li>Work closely to uphold the quality, accuracy, and completeness of data recorded in our underlying transaction systems</li><li>Lead regional commercial finance initiatives, streamlining finance processes, and advocating for continuous improvement</li><li>Direct the External Audit process, establishing yourself as a key contributor to organizational success and growth</li><li>Influence decision-making at the highest levels while engaging with teams across sales, marketing, operations, and beyond, gaining a holistic view of the business.</li></ul>