89 results for Chief Financial Officer in Brooklyn, NY
VP/Director of Finance<p><strong>Position Overview</strong></p><p>We are in search of an accomplished and strategic Vice President (VP) & Controller – Equipment Leasing to oversee and lead our financial operations. This pivotal role combines high-level financial expertise with leadership skills to guide critical financial strategies, ensure precise financial reporting, and align our financial practices with the broader goals of the organization. The successful Vice President (VP) & Controller – Equipment Leasing will manage all accounting functions, compliance requirements, and lease portfolio management while collaborating closely with the executive leadership team to drive business success and scalable growth.</p><p><br></p><p><strong>Primary Responsibilities</strong></p><p>• Oversee all accounting and financial reporting functions, ensuring full compliance with regulatory standards, including U.S. GAAP, IFRS, and applicable tax laws.</p><p>• Manage the preparation of timely and accurate financial statements (monthly, quarterly, annual), such as balance sheets, profit & loss statements, and cash flow reports.</p><p>• Direct the preparation and submission of federal, state, and local tax filings while ensuring adherence to relevant tax regulations, particularly those associated with equipment leasing.</p><p>• Establish, refine, and enforce accounting policies and procedures designed to optimize transaction accuracy, maintain robust internal controls, and mitigate financial risk.</p><p>• Partner with cross-functional teams—including commercial, legal, and operations—to structure lease transactions, assess financial and tax implications, and ensure favorable outcomes.</p><p>• Ensure compliance with lease accounting standards and other industry-specific regulatory requirements.</p><p>• Spearhead internal and external audits, uphold rigorous internal controls, and manage all financial reporting-related processes.</p><p>• Recruit, develop, and inspire a high-performing finance and accounting team, fostering a culture of mentorship, professional development, and accountability.</p><p>• Cultivate and maintain strategic relationships with auditors, tax consultants, legal advisors, and other key external stakeholders.</p><p><br></p><p><strong>Why Join Us?</strong></p><p>This is an exciting opportunity to play a transformative leadership role in a fast-moving and dynamic organization. The ideal candidate will be a strategic thinker, a collaborative team player, and an experienced financial leader looking to make a meaningful impact on a rapidly growing business.</p><ul><li><br></li></ul>Director of Finance<p>Our client is a growing investment management company dedicated to excellence in financial oversight and strategic investments. We are seeking a dynamic and proactive Director of Finance to join our team and play a key role in our financial operations and strategy.</p><p><br></p><p>The role involves opening and maintaining entity bank accounts while managing financial transactions efficiently. Responsibilities include reviewing and processing invoices related to investment manager and joint venture expenditures and setting up payments through the company’s banking portal for approval by the Managing Director. Additionally, the position requires processing payroll in collaboration with third-party payroll service providers, onboarding new employees as needed, and assisting with cash forecasting. The individual will also work closely with the Managing Director to coordinate and review closing statements, as well as sources and uses of funds related to new acquisitions.</p><p><br></p><p>If interested in this role, send resume to [email protected] , with subject line “Director of Finance”. </p><p><br></p>Finance Manager<p>Our client in the Lower Fairfield, CT area has an opening for an Interim Finance Director. The Interim Finance Director will contribute to the organization's overall financial strategy, perform financial and risk analysis, revenue analysis/performance, audit and grant reconciliations, budgeting and forecasting, financial reporting and modeling, compliance, oversee the General Ledger monthly reconciliations, P& L statements, balance sheet, cash flow reports, and state tax filings. </p><p><br></p><p>If you are interested in this Interim Finance Director opening, please email your resume in Word format to joseph.colagiacomo@roberthalf with the subject line: "Interim Finance Manager"</p>Finance Director<p>National Insurance brokerage company with regional headquarters located in Morris County, NJ is seeking a Regional Finance Director. Position will be the key FP& A person in the company handling all budgeting, forecasting and strategic planning activities and business partnering with key operational divisions in the insurance brokerage company. Will also be involved with traditional month end close and financial reporting activities so looking for a mix of FP& A and Accounting skills and experience. Should have strong supervisory and leadership experience as well. Must have 10+ years of strong and progressive FP& A and accounting experience working for mid to larger size companies. MUST HAVE INSURANCE AGENCY / BROKERAGE OR INSURANCE COMPANY experience to understand how the commercial insurance market works. Must have the presentation and polish to present to Sr. level leadership and also partner with different parts of the business to assist them with FP& A activities. Any experience reporting to a Private Equity owned company is a plus as well. Company offers a competitive salary in the $170-190K range plus a strong target bonus and great benefits. Nice office location and expect candidates to be in the office 3-4 days a week with flexibility to 1-2 days a week from home based on business need. </p>Director of Finance/Assistant Controller<p>We are offering an opportunity based in the Ewing, New Jersey area, for the position of Director of Finance/Assistant Controller. The role focuses on managing financial accounting and operations, driving process improvements, and supporting strategic initiatives. The individual will be a key player in maintaining financial integrity across various systems and processes while leading a team in the Finance Department.</p><p><br></p><p><strong>Responsibilities:</strong></p><ul><li>Lead the Finance Office team, managing General Accounting and Endowment Accounting staff, as well as an outsourced contract handling Accounts Payable, Procurement, and Billing.</li><li>Drive professional development, mentoring, and growth opportunities for Finance Office team members.</li><li>Foster collaboration with key departments, including HR and Development, to ensure smooth operations and enhance cross-functional support.</li><li>Develop and implement financial policies and procedures to optimize efficiency while ensuring compliance with Internal Revenue Service (IRS) regulations and Generally Accepted Accounting Principles (GAAP).</li><li>Supervise General Ledger accounting system ensuring timely month-end and annual close, accurate reconciliations, and responsive end-user support.</li><li>Oversee endowment accounting processes using proprietary internal software ensuring alignment with donor requirements and the General Ledger.</li><li>Monitor capital spending and Renewal & Replacement (R& R) programs, ensuring accurate financial recording, reconciliations, and reporting.</li><li>Manage fixed assets and depreciation records, preparing audit schedules, and advancing lifecycle financial planning systems.</li></ul><p><br></p>Director of Finance/Controller<p>My client is a well-established, highly prestigious NFP located in NYC. The COO is looking for an exceptional Controller/Director of Finance to join their team. The Controller/Director of Finance will report directly into the COO and be the #1 person in finance and accounting managing a team of 5x.</p><p> </p><p>The COO is looking for a change agent, someone with a track record of going into an organization and evaluating people, processes and technology to make improvements.</p><p><br></p><p> The COO comes from a for profit background and is interested in both others like themselves from the for profit who are looking to transition to a wonderful NFP, and/or a current NFP professional.</p><p> </p><p>They are located in NYC and in the office 5 days a week.</p><p> </p><p>As always, these are permanent, full time, fully benefited salaried positions (these are NOT temp, or temp to perm).</p><p> </p><p>Compensation is based on experience:</p><p>The Controller is between $150 - $175k base + pension + excellent benefits (they cover about 97% of a family medical plan) </p><p> </p><p>The role will cover:</p><ul><li>Evaluating everything within Finance and accounting</li><li>Make recommendations (and executing) to improve process, technology and enhance the team</li><li>Manage the relationship and presentation to the Board, ED and C-Suite</li><li>Work with non-finance and accounting department heads throughout the organization </li><li>Manage the reporting and budgeting and cash management</li><li>Oversee the accounting team </li><li>Assist when required on the month end close and other accounting functions (this is a hands on role)</li><li>Manage a team of 5x staff</li></ul><p> </p><p>Who are you?</p><ul><li>Open to for profit and non for profit experience</li><li>Strong experience with change mgmt., implementations, process improvements</li><li>Experience with grants is a +</li><li>MBA or CPA is a + </li><li>A minimum of a BA/BS in accounting from a top accredited school</li><li>10+ years of experience. </li></ul><p> </p><p>Exceptional communications skills are required. A great dynamic personality and the ability to work along your fellow colleagues is crucial. He or she must be able to effectively collaborate with individuals both inside and outside the company.</p><p> </p><p>If you would like to be considered for this position, please email your resume in a word document to Kevin.Chin@Roberthalf</p>Asst. Controller / Tax Manager<p>My client is highly prestigious, well established Family Office in NYC. Their portfolio is an impressive collection of Real Estate entities in the NYC area. The CFO and Controller are looking to bring on a blended General Ledger/Tax and some finance (budgets/forecasting) role.</p><p> </p><p>Title is fluid i.e. Asst. Controller/Tax Manager. The role will report directly to the Controller with a dotted line to the CFO. </p><p> </p><p>This is an extremely rare opportunity for a Tax Accountant to move into a role doing Tax, General Ledger and some FP& A!!!!!</p><p> </p><p>Amazing quality of life, 9-5pm, no OT, no weekends!!!!</p><p> </p><p>They are located in the heart of NYC, and in the office 4 days a week, remote on Fridays.</p><p> </p><p>As always, these are permanent, full time, fully benefited salaried positions (they are NOT temp, temp to perm).</p><p> </p><p>Compensation is based on experience:</p><p>Between $110 - $140k base + discretionary bonus + fully paid Medical premiums including family plans + robust matching 401k </p><p> </p><p>The role will cover:</p><ul><li>60% of the role is tax the rest is a blend of GL and FP& A</li><li>Real estate partnership, K1, HNW, C Corp, Trust and Individual tax returns </li><li>Individual tax and estate planning</li><li>Support the month end close</li><li>Working with reconciliations, accruals, journal entries</li><li>Preparing financial statements</li><li>Assisting with budgeting and forecasting </li></ul><p> </p><p>Who are you?</p><ul><li>Must have experience with partnership tax</li><li>Experience with CCH Prosytem FX Tax/CCH Access is highly preferred</li><li>Pursuing your CPA, parts passed or CPA are highly preferred</li><li>A minimum of a BA/BS in accounting from a top accredited school</li><li>3+ years of experience. </li></ul><p> </p><p>Exceptional communications skills are required. A great dynamic personality and the ability to work along your fellow colleagues is crucial. He or she must be able to effectively collaborate with individuals both inside and outside the company.</p><p> </p><p>If you would like to be considered for this position, please email your resume in a word document to Kevin.Chin@Roberthalf</p>Financial Planning & Analysis Manager<p>We are in search of a Financial Planning & Analysis Manager to become a part of our team in the financial services sector, based in New York. The individual will play a pivotal role in conducting comprehensive financial analysis, maintaining rolling forecasts, spearheading the annual budgeting process, and supporting treasury operations among other responsibilities. This role is integral to ensuring the financial health and strategic planning of our operations.</p><p><br></p><p>Responsibilities:</p><p><br></p><p>• Take a leading role in the execution of comprehensive financial analysis, including variance, cost, and profitability analysis along with financial modeling.</p><p>• Establish and sustain rolling forecasts to ensure precise financial projections for both immediate and long-term planning.</p><p>• Actively participate in the annual budgeting process, ensuring collaboration and alignment with key stakeholders.</p><p>• Oversee department budgets, ensuring fiscal discipline and providing insights for cost management.</p><p>• Collaborate closely with the HR team to assess and evaluate compensation structures to ensure market competitiveness and internal equity.</p><p>• Actively contribute to the selection, coordination, and implementation of a new Enterprise Resource Planning (ERP) system.</p><p>• Support treasury operations, focusing on cash flow forecasting, liquidity planning, and financial risk management.</p><p>• Work in tandem with senior leadership to develop financial strategies, performance metrics, and reporting frameworks that drive decision-making across the firm.</p><p>• Prepare financial performance reports, variance analyses, and executive dashboards to provide actionable insights.</p><p>• Identify and implement process improvements to enhance financial reporting, planning, and operational efficiency.</p><p>• Undertake special projects and ad-hoc financial analyses to support executive leadership and business initiatives.</p><p>• Maintain strong relationships with internal stakeholders, ensuring clear communication and collaboration across teams.</p><p><br></p><p>Please send resumes directly to saravana.velayutham@roberthalf(.)com. If you're working with one of my colleagues in the tri-state area, please reach out to them and refer to job reference number 02940-0013176112</p><p><br></p>ControllerWe are offering an exciting opportunity for a Controller in Westbury, New York, United States. This role is critical within our organization, leading the financial operations to ensure compliance with regulatory requirements and align with our strategic financial goals. With a significant focus on financial reporting and Securities and Exchange Commission (SEC) compliance, this position also involves managing accounting processes in complex corporate environments.<br><br>Responsibilities:<br><br>• Ensuring timely and accurate filings of SEC periodic reports (10-K, 10-Q, 8-K) in accordance with U.S. Generally Accepted Accounting Principles (GAAP) and SEC regulations<br>• Supervising the drafting of financial statements, disclosures, and narrative descriptions to meet SEC standards<br>• Keeping abreast of developments in SEC regulations and advising leadership on compliance needs<br>• Overseeing all accounting functions, including general ledger, accounts payable/receivable, payroll, and fixed asset management<br>• Managing accurate and timely month-end, quarter-end, and year-end closes<br>• Administering GL reconciliations and maintaining internal controls to ensure financial integrity<br>• Working closely with external auditors for a smooth and efficient external audit process<br>• Supporting internal audit processes and implementing recommendations for improved compliance and operational efficiency<br>• Designing, implementing, and enhancing internal control procedures to comply with Sarbanes-Oxley (SOX) requirements<br>• Assessing and mitigating risks associated with financial reporting and operations<br>• Leading and mentoring the accounting team, fostering a culture of precision and accountability<br>• Collaborating with departments such as Legal, Investor Relations, and Operations to support organizational initiatives and ensure alignment with reporting requirements<br>• Providing analysis and insights to senior management on financial performance, including budget variance explanations, revenue forecasting, and cost management initiatives<br>• Partnering with the CFO in shaping and executing corporate financial strategies.Financial Systems Manager<p>We are inviting applications for a Financial Systems Manager role based in the Bridgewater, New Jersey area. This role is centered around enhancing our financial reporting capabilities and overall support of Oracle Cloud applications. The role offers an exciting employment opportunity.</p><p><br></p><p><strong>Responsibilities:</strong></p><p>• Enhance the organization's financial reporting capabilities by working closely with business teams.</p><p>• Offer subject matter expertise on Oracle EPM related activities.</p><p>• Research, develop, and implement future enhancements and system capabilities.</p><p>• Proactively manage integrations and data quality processes including validations, mappings, and transformations.</p><p>• Support business needs surrounding the monthly close process, planning, and forecasting through financial systems.</p><p>• Act as a liaison between finance, IT, and other relevant departments, ensuring financial systems meet user needs and comply with financial controls.</p><p>• Configure application components such as reconciliations, reports, security, and process management modules.</p><p>• Develop and maintain system documentation, procedures, and training materials.</p>Plant Controller<p>A very profitable manufacturer in Somerset is searching for a Plant Controller. The successful candidate should have seven plus years of experience in a manufacturing accounting. Experience in cost, inventory and financial reporting is required. The Plant Controller must be able to work independently and interface well with operational plant employees. Responsibilities include:</p><p>• Performing cost and inventory analysis.</p><p>• Preparing monthly closings and financial statements.</p><p>• Assisting in the preparation of the annual budget.</p><p>• Special projects for the CFO.</p><p>• Assist in annual audit.</p><p><br></p><p>The company offers a very good compensation and benefits package. To apply email a resume to Robert Half International. Or call Rich Singer, CPA at 848-202-7970 to discuss this opportunity.</p>Controller<p><strong>Controller: Boutique CPG Firm</strong></p><p><br></p><p>Our client a well backed and financially stable CPG firm based in Stamford, CT continues to build out their reporting team. This hands-on Controllership position report to the CFO and manages two clerks. The position has the traditional corporate Controller responsibilities: Financial Reporting, month end close, tax, audit support as well as building our proper controls and efficiencies. The firm's merchandise is US made and could benefit from the new tariffs. For immediate consideration email your resume to austin.royle@rhi.</p>Controller<p>We are in search of a Controller to join our team in the Marketing/PR industry located in Darien, Connecticut. The Controller will be instrumental in ensuring the financial well-being of the organization, with responsibilities spanning from processing customer applications, maintaining accurate customer records, to resolving customer inquiries. In this role, you will also oversee customer accounts and take appropriate action when necessary.</p><p><br></p><p>Responsibilities:</p><p>• Perform monthly and yearly closes</p><p>• Produce financial statements </p><p>• Analyze financial metrics and performance ratios</p><p>• Monitor customer accounts and take necessary action</p><p>• Manage the integration of contracts into NetSuite using accrual-based, project-based principles</p><p>• Oversee business operations including the drafting and execution of statements of work, contract renewals, and amendments</p><p>• Streamline and overhaul work processes and systems</p><p>• Interact with sales team and clients, and participate in client meetings and negotiations</p><p>• Leverage expertise in NetSuite to educate stakeholders about system capabilities and reporting</p><p><br></p>Controller<p>Our client, a leading high-quality manufacturing company, is seeking an experienced Controller to join their team in New York City. This key leadership role will oversee finance, accounting, reporting, forecasting, and risk management functions.</p><p>This is an outstanding opportunity for a highly motivated and detail-oriented accounting professional with manufacturing experience and exposure to M& A transactions. The ideal candidate will have a strong financial acumen, a strategic mindset, and a track record of driving operational and financial excellence.</p><p>Responsibilities include: </p><p>• Finance, Accounting & Risk Management - Oversee finance, accounting, treasury, and risk management operations of the company.</p><p>• Strategic Planning & M& A Preparation - Lead financial due diligence efforts and assist private equity investors in preparing the company for a potential sale. </p><p>• Financial Analysis & Reporting – Extract, analyze, interpret, and report financial data for financial and operational performance, including performance against budgets and key business metrics.</p><p>If interested in this role, send resume to [email protected] , with subject line “Controller”.</p><p><br></p>Assistant Controller<p>We are in search of an Assistant Controller to join our team in the construction industry, located in Manhattan, NY. As an Assistant Controller, you will be tasked with supporting various financial operations, including corporate reporting, financial planning and analysis, tax matters, and budget preparations. Your role will involve ensuring the company's accounting procedures adhere to generally accepted accounting principles and internal policies.</p><p><br></p><p>Responsibilities:</p><p><br></p><p>• Streamline and oversee the corporate and field monthly closing processes and deadlines.</p><p>• Supervise and prepare journal entries, inclusive of tax and allocation entries.</p><p>• Conduct financial audits and assist in managing the process.</p><p>• Collaborate with corporate department managers/staff in the development of budgets and business plans.</p><p>• Manage accounting procedures and ensure adherence to internal controls, including company policies, GAAP, and Sarbanes-Oxley.</p><p>• Oversee and manage related party transactions, including intercompany, intracompany, and investments in subs/JVs.</p><p>• Oversee corporate processes relating to cash transactions, AR, prepaids, fixed assets, EQ, AP, accruals, DTF accounts, etc.</p><p>• Validate and review new supplier/vendor/service provider setup documents.</p><p>• Verify and review expenditures and expense reports for accuracy.</p><p>• Develop and prepare both internal and external financial reporting packages.</p><p>• Assist with the preparation of financial analyses, outlooks, and forecasts.</p><p>• Ensure compliance with local, state, and federal budgetary reporting requirements.</p><p>• Audit workflow to ensure that all accounting transactions are properly authorized.</p><p>• Prepare financial statements.</p><p><br></p><p>Please send resumes directly to saravana.velayutham@roberthalf(.)com. If you're working with one of my colleagues in the tri-state area, please reach out to them and refer to job reference number 02940-0013194532</p><p><br></p>Assistant Controller<p>As the Assistant Controller, you will report to the CFO in a multi-faceted company. You’ll provide hands on controller duties with a mix of Accounting and FP& A work.</p><p>• Prepare financial reporting and analysis and provide FP& A support to various stakeholders</p><p>• Manage the day-to-day accounting for the organization with a finance team of 6 people.</p><p>• Assist with systems implementation </p><p>• Review payroll, including the cash summary</p><p>• Oversee revenue, process improvement, and long-term projects (like researching and implementing an expense software solution such as “Expensify” or “SAP Concur”)</p><p>• Take charge of all journal entries related to GL, bank transactions, accrued expenses, payroll, and more</p><p>• Manager the General Ledger (GL) transactions, including cash, and fixed assets</p><p><br></p>Property Sr. Controller<p>Our client is a leader in the industrial real estate sector, managing a growing portfolio of properties with precision and excellence. We're seeking a highly skilled <strong>Senior Property Controller</strong> to lead the Property Accounting Group, shaping its growth and driving financial excellence across their asset portfolio. As the Senior Controller, you will play a pivotal role in overseeing the financial management of their properties. This position is perfect for a seasoned property accounting professional, ideally with a background in public accounting and experience in large commercial or industrial real estate firms. You will lead a dedicated team, manage the financial lifecycle of assets, and establish policies and procedures to ensure operational excellence as we expand.</p><p><br></p><p><strong>Key Responsibilities</strong></p><ul><li>Yardi Administration: Oversee the Yardi platform, including entity creation, workflow maintenance, and ensuring system efficiency.</li><li>Team Leadership: Manage a team of 5, fostering a culture of collaboration and growth.</li><li>Month-End Close: Establish and oversee a robust month-end close process, including bank reconciliations, accruals, and supporting balance sheet accounts. Investigate and resolve account activity discrepancies.</li><li>Reporting: Compile comprehensive monthly reporting packages and other required reports.</li><li>Transaction Oversight: Assist in recording property-related transactions, including acquisitions, sales, and refinancing.</li><li>Due Diligence: Support due diligence efforts for acquisitions, dispositions, and other strategic projects.</li><li>Process Improvement: Lead initiatives to enhance internal controls and operational efficiencies, supporting the company's growth strategy.</li><li>Budgeting & Forecasting: Assist with annual budgets, CAM reconciliations, and financial forecasting.</li><li>Collaboration: Partner with the fund accounting team to address and resolve consolidation issues.</li></ul><p><strong>Why Join The Team?</strong></p><ul><li>Be part of a fast-growing company at the forefront of the industrial real estate sector.</li><li>Lead and develop a high-performing team in a dynamic and collaborative environment.</li><li>Contribute to exciting projects and initiatives that directly impact our growth and success.</li></ul><p><br></p><p>If you’re a motivated accounting professional with a passion for real estate and a desire to lead, apply today!</p><p><br></p><p><br></p>Senior Manager of Accounting<p>A multi-billion dollar services company located near Sayreville, NJ, is looking for a Senior Manager of Accounting. This is a hybrid opportunity.</p><p>• Manage and coordinate financial reporting and accounting for certain portfolios inclusive of audited and unaudited financial statements, general ledger closings and transaction processing.</p><p>• Perform ad-hoc analysis and special projects as required.</p><p>• Primary interface with external audit team to facilitate completion of financial statement audits in a timely and accurate manner.</p><p>• Keeps accounting management informed on issues within the assigned areas of responsibility and supplies support for any financial data request.</p><p> </p><p> </p>Accounting Manager<p>A rapidly expanding manufacturer in Edison is seeking an Accounting Manager with a blend of accounting and budgeting experience to assist in leading the financial operations, drive strategic decision-making, and manage a dynamic team in a fast-paced environment. This is your chance to join a growing organization that values innovation, operational excellence, and employee development.</p><p>· Ensure compliance with GAAP, regulatory standards, and maintain a strong internal control environment.</p><p>· Lead annual budgeting with department heads, providing structure and financial guidance.</p><p>· Oversee monthly, quarterly, and annual closing processes to produce precise financial statements (P& L, Balance Sheet, Cash Flow).</p><p>· Manage external audits and serve as the primary contact with auditors.</p><p>· Supervise accounting functions, including AP, AR, payroll, and general ledger activities.</p><p>· Approve journal entries, account reconciliations, and accruals to ensure accuracy and proper financial classification.</p><p>· Develop financial forecasts, analyze trends, and project short- and long-term performance.</p><p>· Conduct variance analyses to uncover insights into deviations and opportunities.</p><p>· Manage cash flow and working capital while optimizing AP/AR processes effectively.</p><p> </p><p> </p><p>The company offers an excellent opportunity for career mobility. To apply email a resume in a Word format to Robert Half. Or call Rich Singer, CPA, at 848-202-7970 to discuss this excellent opportunity. </p>Accounting Manager<p>Join a rapidly growing Consumer Packaged Goods (CPG) company in Jersey City that offers an exciting opportunity to partner with a dynamic and sharp team! We’re seeking an experienced Accounting Manager to drive crucial financial operations and ensure accuracy, while contributing to the company's continued success.</p><p><br></p><p>As the Accounting Manager, you will play a critical role in managing and optimizing the accounting functions for the company. Responsibilities include, but are not limited to:</p><ul><li>Oversee monthly and quarterly closings, ensuring accurate and timely financial reporting.</li><li>Perform general ledger (GL) analysis and review journal entries to uphold financial integrity.</li><li>Oversee account reconciliations and conduct balance sheet analysis to identify and resolve discrepancies.</li><li>Provide support for year-end closing activities and assist with external audits by preparing required documentation.</li><li>Prepare detailed and accurate financial statements and other operational reports.</li><li>Manage and supervise the Accounts Payable team, ensuring smooth day-to-day operations.</li><li>Supervise and mentor Staff Accountants, fostering professional development and maintaining team performance.</li><li>Conduct financial analysis to identify key insights and trends for leadership decision-making.</li><li>Collaborate on ad hoc special projects to support senior management initiatives.</li></ul><p><br></p><p>Preferred:</p><ul><li>CPA (Certified Public Accountant) certification or MBA (Master of Business Administration).</li><li>Foundational experience in public accounting.</li></ul><p>Skills and Attributes:</p><ul><li>Strong attention to detail with exceptional organizational and analytical abilities.</li><li>Ability to manage multiple priorities and meet deadlines in a fast-paced environment.</li><li>Proficiency in financial systems and software tools, alongside advanced Excel capabilities.</li></ul><p><br></p>Director of Accounting<p>We are offering an exciting opportunity for a Director of Accounting in Westbury, New York. Your primary function will be to oversee and manage various accounting functions and processes.</p><p><br></p><p>Responsibilities:</p><p>• Oversee accounting functions, including Accounts Payable (AP) and Accounts Receivable (AR).</p><p>• Manage and audit financial transactions to ensure accuracy and compliance.</p><p>• Maintain and process customer credit applications efficiently.</p><p>• Regularly update and keep accurate customer credit records.</p><p>• Utilize Sage 300 for various tasks.</p><p>• Handle inquiries and issues related to customer accounts and take appropriate action.</p><p>• Be responsible for the budget processes within the organization.</p><p>• Utilize advanced Excel skills for various accounting tasks.</p><p><br></p>Private Equity - Assistant Controller<p><strong>Private Equity - Assistant Controller</strong></p><p><br></p><p>Our client a brand name, established, Alternative Investment firm continues to build out their reporting and finance teams. This position is a right hand to the CFO, manages two, and is responsible for Fund reporting, and management accounting functions. The firm is known for top talent, promoting from within, a professional team culture, and an excellent work life balance. For immediate consideration email your resume to austin.royle@roberthalf.</p>Controller<p>Robert Half is seeking candidates who have a knack for leading with high standards, positively motivating others, and making critical decisions. We are looking for a Controller to work at a reputable not for profit organzation in the Melville area. In this role, you will be planning and directing all accounting operational functions, handling the accumulation and consolidation of financial data for internal and external financial statements, evaluating accounting and internal control systems, and leading departmental staff. In this role, it will be critical for you to lead with integrity and reliability and have the ability to manage self and others with urgency, practicality and accountability when providing client services. </p><p><br></p><p><br></p><p><br></p><p>- Work closely with executive team and partners to ensure that firm-wide operation is efficient and effective</p><p><br></p><p>- Support Finance Department initiatives, including software and systems implementation and other departmental or firm-wide improvements, through research, planning and implementation, as needed</p><p><br></p><p>- Prepare cash-flow reports, projecting cash needs at weekly and monthly intervals, daily cash management</p><p><br></p><p>- Oversee the activities of the finance department, such as accounts payable, billings & collections, and payroll</p><p><br></p><p>- Manage monthly and annual close of income statement and balance sheet, the reconciliations of accounts, and G/L analysis</p><p><br></p><p>- Manage the creation of and monthly monitoring of the annual budget and forecasts</p><p><br></p><p>- Each month, present executive committee and partners with financial reports</p><p><br></p><p>- Drive the timing for monthly billing and other cash management techniques to ensure the timely cash collection</p>Controller<p>Responsibilities:</p><p><br></p><p>• Oversee the preparation of financial reports, ensuring they are accurate and delivered in a timely manner</p><p>• Manage the entire accounting team, providing necessary training to keep skills and knowledge current</p><p>• Ensure all required documents are appropriately requested, collected, and compiled</p><p>• Maintain our organization's financial stability and health</p><p>• Ensure our company's compliance with all financial regulations and standards</p><p>• Revise and formulate policies as necessary, and promote their implementation</p><p>• Evaluate financial performance by comparing and analyzing actual results with plans and forecasts</p><p>• Analyze costs, pricing, variable contributions, and sales results to assess the company’s performance against business plans</p><p>• Use your knowledge of wholesale distribution to enhance financial operations and strategies.</p>Controller<p>Mid-size manufacturing company with global headquarters located in Northern Morris County is seeking a Controller. This position will be responsible for overseeing the financial operations of the manufacturing facility along with the books and records of 5 subsidiary companies. Candidate will develop and maintain financial records and budgets, manage inventory and cost accounting, and ensure compliance with accounting and tax regulations. Will have an accounting or finance degree and 5+ years of accounting experience along with experience in a manufacturing company. Prefer candidates that started in public accounting in an Audit Role before transitioning to corporate accounting. Strong accounting software skills and any experience with EPICOR is a plus as well. Must have experience working with Inventory. Will also assist with working with the Auditors as well and year end accounting responsibilities along with good presentation skills as well. The company offers a competitive compensation package in the $150-180K range depending on experience and including good benefits. Very nice office location and environment in Northern NJ as well. </p>