Search jobs now Find the right job type for you Create a job alert Explore how we help job seekers Contract talent Permanent talent Learn how we work with you Executive search Finance and Accounting Technology Marketing and Creative Legal Administrative and Customer Support Technology Risk, Audit and Compliance Finance and Accounting Digital, Marketing and Customer Experience Legal Operations Human Resources 2026 Salary Guide Demand for Skilled Talent Report Job Market Outlook Press Room Tech insights Labor market overview AI in recruiting Navigating the AI era Staffing for small businesses Cost of a bad hire Browse jobs Find your next hire Our locations

Add your latest resume to match with open positions.

2 results for Financial Analyst Financial Services in Baton Rouge, LA

Accounting Manager
  • Boutte, LA
  • onsite
  • Permanent / Full Time
  • 68000.00 - 75000.00 USD / Yearly
  • <p>Robert Half is partnered with an established non-profit organization in search of an Accounting Manager to oversee financial operations and support accurate, timely reporting. This position plays a central role in maintaining strong accounting practices, administering payroll, and ensuring day-to-day financial activities are completed efficiently. The ideal candidate brings sound judgment, attention to detail, and the ability to coordinate across departments while keeping records organized and compliant.</p><p><br></p><p>Responsibilities:</p><p>• Lead daily accounting activities, including financial recordkeeping, reporting, and oversight of internal control practices.</p><p>• Manage payroll on a bi-weekly schedule, ensuring employee pay, deductions, garnishments, direct deposit updates, and status changes are processed accurately.</p><p>• Review bank activity, monitor incoming payments, and support accounts receivable handling to maintain strong cash management.</p><p>• Reconcile general ledger accounts, insurance-related balances, credit card statements, and other financial records to confirm accuracy and resolve discrepancies.</p><p>• Process vendor invoices promptly, maintain supporting documentation, and help ensure expenditures are coded correctly and aligned with departmental budgets.</p><p>• Coordinate payroll setup for new employees and apply employee compensation updates in the payroll system in partnership with Human Resources.</p><p>• Prepare financial reports, month-end documentation, and other accounting summaries needed for leadership review and audit support.</p><p>• Track payroll-related items such as overtime, mileage, vacation usage, benefit withholdings, and accrual balances to support policy compliance.</p><p>• Maintain organized accounting files, oversee petty cash activity, and distribute financial documents or payments as needed.</p><p>• Participate in leadership and department meetings while helping address operational or financial issues as they arise.</p>
  • 2026-05-04T20:18:41Z
Treasury Specialist
  • Baton Rouge, LA
  • onsite
  • Permanent / Full Time
  • 75000.00 - 114000.00 USD / Yearly
  • <p>We are looking for an experienced Treasury Specialist to support the financial stability of our client in Baton Rouge, Louisiana. This position is responsible for overseeing cash resources, maintaining strong banking and liquidity practices, and helping ensure funds are available for day-to-day operations as well as longer-term obligations. The role also partners with internal teams to strengthen payment controls, support compliance expectations, and provide financial insight for leadership decision-making.</p><p><br></p><p>Responsibilities:</p><p>• Direct daily review of cash balances across hospital accounts and monitor available funds to support ongoing operations.</p><p>• Build and update near-term and longer-range cash projections by incorporating expected payment activity, payroll needs, and other financial commitments.</p><p>• Coordinate liquidity planning to ensure timely coverage of operating expenses, compensation cycles, debt obligations, and capital spending.</p><p>• Manage relationships with banking partners, including account setup, service evaluation, and analysis of related fees.</p><p>• Maintain appropriate banking access, signer records, and account controls in collaboration with accounting and other key stakeholders.</p><p>• Administer treasury tools and online banking platforms to support efficient cash management and secure transaction processing.</p><p>• Provide oversight of payment-related workflows carried out by Accounts Payable and Payroll to promote accuracy and control.</p><p>• Set payment schedules, funding parameters, and approved transaction methods while reviewing higher-risk disbursements such as wires and electronic releases.</p><p>• Assess exposure related to liquidity, interest rates, and financial counterparties, and recommend actions to reduce risk.</p><p>• Prepare treasury reporting and cash analysis for finance leadership to support planning, compliance, and strategic use of cash balances.</p>
  • 2026-05-07T15:58:47Z