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54 results for Data Entry 1 Risk Engineering Services Associate in Dallas, TX

Associate Director of Finance <p>We are offering an exciting opportunity for an Associate Director of Finance (Accounting) in Dallas, Texas. This role involves overseeing the financial operations for three related non-profit entities, managing all aspects of bookkeeping and financial reporting, and supporting various committees and boards. </p><p><br></p><p><strong>PERKS</strong></p><ul><li>Half day every Friday (35-40 hour work week)</li><li>100% paid Medical, Dental, Vision for employee</li><li>Beautiful office and campus</li><li>Be a VITAL part of meaningful, well-funded organization</li><li>Great work/life balance and company culture</li><li>Flexible hours and can work from home a few days a month</li></ul><p><strong>Responsibilities:</strong></p><p>• Oversee and manage all bookkeeping functions, including processing and depositing receipts, and reconciling bank and credit card accounts.</p><p>• Oversee the receipt and disbursement of temporarily and permanently restricted gifts.</p><p>• Maintain accurate records of member pledges and gifts and ensure timely delivery of member giving statements and donor acknowledgments.</p><p>• Deliver accurate financial statements to the Finance Committee monthly and to the Foundation and Boards quarterly.</p><p>• Develop management reporting including cash flow forecasting and comparative benchmark trending.</p><p>• Coordinate the development of the annual budget and monitor and report variances to forecast.</p><p>• Support the annual audit by providing necessary records, documentation, and supporting information.</p><p>• Oversee processes related to invested assets and accurately maintain associated records.</p><p>• Facilitate acceptance of gifts from a variety of sources and respond to member inquiries regarding giving options.</p><p>• Supervise the Finance and HR Coordinator and AP Specialist.</p><p>• Attend and provide financial status updates at committee and board meetings.</p><p>• Assist with the annual stewardship campaign and upcoming capital campaign, as needed.</p> Associate Manager, Treasury Finance We are actively searching for an Associate Manager, Treasury Finance to join our team in Dallas, Texas. The primary focus of this role includes analysis and management of credit line debt, execution of various transactions, and daily liquidity management for our finance industry operations. <br><br>Responsibilities <br>• Analyze and manage credit line debt on a daily basis as related to our mortgage debt business and commercial mortgage loan funding.<br>• Execute and track various types of transactions daily through multiple treasury systems.<br>• Manage daily liquidity of cash flows, conduct money movement analysis and generate cash reports.<br>• Regularly interface with corporate partners, designated vendors, and third-party banking partners to develop business relationships in line with financial services agreements and reporting requirements.<br>• Master our proprietary Treasury management and Loan Connect applications to perform the treasury and analytical functions required for the role.<br>• Understand the loan servicing data structure, data extraction tools, and the reconciliation process to ensure the accuracy of the exercises and projects.<br>• Create and maintain documentation on processes and policies to meet business requirements.<br>• Assist with audit requests and generate ad hoc reports when needed. Director of Finance <p>We are in the process of recruiting a Director of Commercial Finance, located in Plano, Texas. This role is central to our business, providing strategic financial guidance and support to our team, while working closely with Sales and Operational Leaders to help us achieve our goals. As a key contributor to our profitability and growth, you will be required to deliver precise forecasting, effective resource allocation, and execute strategic initiatives.</p><p><br></p><p>Responsibilities:</p><p><br></p><p>• Provide strategic financial advice to the Regional President and operational leaders, guiding them on financial matters, business risks, and opportunities.</p><p>• Construct financial models and conduct scenario analyses to support decision-making and strategic initiatives.</p><p>• Assess capital investments and resource allocations to optimize return on investment.</p><p>• Review pricing strategies, manage cost inputs, and analyze the profitability of customers, products, and services to continually optimize profits.</p><p>• Lead the creation and implementation of annual budgets, quarterly forecasts, and long-term financial plans for the regional business unit.</p><p>• Monitor key financial performance indicators (KPIs), providing variance analysis and actionable insights to regional leadership.</p><p>• Collaborate with business leaders to drive revenue growth while optimizing costs to improve profitability.</p><p>• Integrate macro-economic and industry indicators into the forecast process to drive a proactive approach to market variability.</p><p>• Work with regional teams to ensure financial discipline and alignment with corporate financial goals.</p><p>• Drive operational efficiency initiatives, ensuring alignment with financial objectives.</p><p>• Assist in identifying and mitigating financial risks within the business unit.</p><p>• Collaborate with HR, operations, and sales teams to align financial goals with business objectives.</p><p>• Support M& A activities, business integrations, and financial due diligence when applicable.</p><p>• Provide leadership, mentorship, and training to entry level finance team members within the region.</p><p>• Oversee, in coordination with the centralized accounting team, month-end close activities to ensure the accuracy and integrity of the business unit's P& Ls.</p><p>• Coordinate forecasting and budgeting process with corporate FP& A to align with overall company goals.</p><p>• Assist in cash flow generation by driving improvements within the business unit’s control for DOH, DSO, and DPO.</p> Fractional Chief Accounting Officer <p>We are seeking a Fractional Chief Accounting Officer (CAO) to undertake a crucial consulting role for a multi-billion retail client. This role is based in Irving, Texas, and necessitates the individual's presence on-site for 2-3 days per week. The advisor will serve as backfill for the Chief Accounting Officer (CAO)/Controller, managing strategic finance and accounting functions for the organization during a transitional period. This critical role is ideal for a highly experienced finance professional with a proven track record in large-scale organizations, particularly in retail or similar industries. This role with be the advisor to the CFO.</p><p><br></p><p><strong>Key Responsibilities</strong></p><p><strong> Strategic Financial Leadership</strong></p><ul><li>Provide interim leadership for the accounting and finance departments, ensuring continuity in strategic initiatives and financial integrity.</li><li>Collaborate with executive leadership to offer insights and recommendations on financial performance, operational improvements, and risk mitigation.</li><li>Assist in strategic planning, budgeting, and forecasting processes.</li></ul><p><strong> Accounting Oversight</strong></p><ul><li>Supervise day-to-day accounting functions to ensure compliance with Generally Accepted Accounting Principles (GAAP).</li><li>Review and ensure timely, accurate preparation of financial statements, management reports, and any external reporting required.</li><li>Lead the organization through month-end and year-end close processes.</li></ul><p><strong> Compliance and Risk Management</strong></p><ul><li>Ensure adherence to internal controls, policies, and procedures to meet regulatory and corporate compliance standards.</li><li>Partner with internal and external auditors to facilitate audits and address any issues identified.</li></ul><p><strong> Process Optimization</strong></p><ul><li>Streamline financial and accounting operations, identifying efficiencies and implementing best practices across teams.</li><li>Leverage systems and tools to create more efficient workflows (ERP systems, financial software, etc.).</li></ul><p><strong> Team Leadership and Mentorship</strong></p><ul><li>Provide mentorship and professional development for accounting and finance team members.</li><li>Act as a resource to team leads, offering guidance in decision-making and management of key initiatives.</li></ul><p><strong> Special Projects</strong></p><ul><li>Partner on special projects, such as M& A activities, systems conversions, or other high-priority organizational initiatives.</li></ul><p><strong>Ideal Candidate</strong></p><p>This role is tailored for a strategic and pragmatic leader who can seamlessly step into the existing finance infrastructure and provide stability, guidance, and operational excellence during a period of transition. The ideal candidate will have extensive experience in senior finance roles with significant exposure to retail or similarly complex industries, and a strong ability to balance hands-on execution with strategic advisory responsibilities.</p><p><strong>Opportunities and Benefits</strong></p><p>This engagement offers a dynamic opportunity to work with a high-performing organization in an influential financial leadership capacity, shaping financial outcomes and contributing to organizational success at a pivotal time.</p> AP/AR Manager <p>We are seeking an AP/AR Manager to join our team in Carrollton, Texas. In this role, you will be overseeing both the Accounts Payable and Accounts Receivable functions within a multi-entity shared services environment, providing guidance and mentorship to your team, and ensuring alignment with our organizational objectives. </p><p><br></p><p>Responsibilities:</p><p><br></p><p>• Oversee the end-to-end AR/AP processes for various entities, both domestic and international, with an emphasis on accurate and timely results</p><p>• Provide leadership to the AR/AP teams, including setting objectives and ensuring alignment with organizational goals</p><p>• Regularly conduct training sessions and performance evaluations to foster employee development and improve department efficiency</p><p>• Audit AR/AP methods and procedures to identify areas for improvement and enhance efficiencies</p><p>• Develop and implement internal controls and procedures to mitigate risk and protect company assets</p><p>• Analyze and reconcile complex data sets, identify trends, and make strategic decisions to optimize departmental and financial results</p><p>• Ensure compliance with all relevant laws, including 1099 reporting, escheat, and sales and use tax</p><p>• Serve as an expert in systems utilized by the AR/AP departments, such as NetSuite, Avalara, and AvidXchange, and train team members on these systems</p><p>• Support internal and external audits by providing accurate financial documentation and insight into AR/AP operations</p><p>• Lead or participate in special department projects, including system conversions and acquisition integrations.</p> Financial Analyst <p>We are offering an exciting opportunity for a Financial Analyst in Fort Worth, Texas. The Financial Analyst will play a key role in our team, focusing on managing financial reporting, analyzing financial data, and developing strategies to enhance financial performance. This role will require you to work closely with other team members to drive financial strategy and decision-making. For immediate consideration, please send your resume to Carol Nichols, SVP Robert Half Finance and Accounting, to [email protected].</p><p><br></p><p>Responsibilities:</p><p>• Develop and manage financial forecasts, budgets, and financial plans to ensure the financial health of the organization.</p><p>• Analyze financial performance against budgets and forecasts, providing insights and recommendations for improvement.</p><p>• Perform account reconciliation, balance sheets, month-end, quarter-end, and year-end closing reporting.</p><p>• Approve journal entries and handle GL account reconciliation.</p><p>• Manage bank account balances, pull daily bank and credit card reports, and process vendor payments via check, ACH, or online.</p><p>• Assist with the annual budgeting process; collaborate with departmental heads to create accurate budgets.</p><p>• Monitor and assist with departmental budgets and expenditures.</p><p>• Create and manage the PO process, receive and process inventory, handle and escalate vendor issues.</p><p>• Identify financial risks and develop strategies to mitigate them.</p><p>• Ensure effective internal controls are in place to safeguard assets.</p><p>• Evaluate and improve financial processes and systems for efficiency and accuracy.</p><p>• Implement best practices in financial management.</p><p>• Foster a collaborative and productive work environment.</p><p>• Process purchased and sold assets, process deprecation and formulate depreciation schedules.</p><p>• Manage fuel cards and company credit cards, process month-end fuel transfers.</p><p>• Develop and implement financial strategies to support the company’s objectives and growth.</p><p>• Provide strategic financial guidance and support to senior management.</p> Dir/VP of Accounting & Finance- Contract-to-Hire 100% ONSITE <p>Our client is seeking a<strong> hands-on</strong> Director/VP of Accounting & Finance for a contract-to-hire opportunity in Fort Worth (near Roanoke), Texas. This position is <strong>100% onsite</strong> in Roanoke. </p><p><br></p><p><strong>Responsibilities:</strong></p><p>•        Prepare and present accurate and timely financial statements, including profit and loss statements, balance sheets, cash flow statements, etc.</p><p>•        Oversee day-to-day financial operations, including accounts payable and receivable, general ledger, and payroll.</p><p>•        Manage the annual budgeting process and moving forecast.</p><p>•        Assist systems conversion from Oracle Cloud Fusion financial software to software to be determined.</p><p>•        Lead annual financial audit and serve as liaison between public accountants and management.</p><p>•        Implement and maintain financial policies, procedures, and internal controls to ensure compliance with GAAP. </p><p>•        Lead the preparation and submission of various state and local tax forms as necessary.</p><p>•        Manage finance team members which includes but not limited to reviewing journal entries, reconciliations, setting deadlines, etc.</p><p>•        Monitor ad sales and digital revenue against budget and forecast and provide variance analysis to manangement </p><p>•        Monitor monthly OPEX and production expense against budget and forecast. </p><p><br></p><p><strong>Top Keys: </strong></p><p>1. ERP System Conversion Experience (Oracle Fusion/Cloud and NetSuite preferred)</p><p>2. Media Experience</p><p>3. Hands-On Leader</p> Tax Director/Manager - Corporate <p>Real Estate Tax Accountant role in Preston Center Area in Dallas. This role will involve handling tax-related functions, supporting the real estate department. You will have the opportunity to work both independently and as part of a team, in a role that is integral to our operations.</p><p><br></p><p>Responsibilities:</p><p><br></p><p>• Assemble tax documents and prepare workpapers, ensuring accuracy and approval of final prepared Federal and State tax returns.</p><p>• Maintain and update tax basis schedules for various entities.</p><p>• Prepare waterfall calculations and associated tax allocations.</p><p>• Ensure the accuracy of tax reporting by reviewing QuickBooks files.</p><p>• Respond promptly and effectively to Federal and State tax notices.</p><p>• Assist with tax audits as needed.</p><p>• Carry out quarterly capital gain and taxable income forecasts for all partners.</p><p>• Monitor the receipt of tax documents from partners and check for accuracy.</p><p>• Prepare workpapers for partnership returns.</p><p><br></p><p>Skills:</p><p><br></p><p>• CPA</p><p>• Real estate tax</p><p>• Public Accounting Tax</p><p>• Partnership Taxation</p><p>• QuickBooks</p><p>• Microsoft Excel</p><p><br></p><p>If interested in being presented for this role, please email a resume to Liz Noyes at Robert Half via Linked In.</p> Sr. Financial Analyst <p>We are seeking a highly skilled <strong>Senior Financial Analyst</strong> for a short-term project with a retail client located in Irving, Texas. This position requires a detail-oriented and results-driven professional who can excel in a fast-paced retail environment. The primary responsibilities include managing scheduling, financial reporting, and establishing standardized processes to streamline workflows. Expertise in Oracle Fusion is preferred for this role.</p><p> </p><p><strong>Key Responsibilities:</strong></p><p><strong> Financial Scheduling & Forecasting</strong></p><ul><li>Develop and maintain detailed schedules to support monthly, quarterly, and annual reporting cycles.</li><li>Ensure all financial deadlines are met with accuracy and consistency.</li><li>Coordinate closely with stakeholders across accounting, operations, and finance teams to align deliverables.</li></ul><p><strong> Financial Reporting</strong></p><ul><li>Generate, review, and analyze financial reports to support key business decisions.</li><li>Conduct variance analysis and present actionable insights to executive leadership.</li><li>Leverage Oracle Fusion to improve reporting accuracy and access to real-time financial data.</li></ul><p><strong> Process Standardization</strong></p><ul><li>Analyze existing workflows and identify areas for standardization and efficiency improvements.</li><li>Implement standardized reporting templates and tools to simplify recurring financial operations.</li><li>Document processes to ensure knowledge transfer and ease of continuity post-project.</li></ul><p><strong> Collaboration & Support</strong></p><ul><li>Act as a liaison between finance and IT teams to resolve system or data-related issues.</li><li>Provide ad hoc financial analysis and recommendations as needed during project completion.</li><li>Train internal team members in Oracle Fusion best practices and process enhancements.</li></ul><p><strong> Data Integrity & Compliance</strong></p><ul><li>Ensure financial data integrity and compliance with company policies and GAAP standards.</li><li>Identify and mitigate financial reporting risks stemming from inconsistencies or inefficiencies.</li></ul><p><strong>Top 3 Keys: </strong></p><ol><li>Scheduling</li><li>Reporting</li><li>Setup standardization process</li></ol> Interim Chief Accounting Officer <p>Management Resources is seeking an Interim Chief Accounting Officer / Controller for a 5 month project. The Chief Accounting Officer oversees the accounting operations of the company, including development, compliance, and ongoing maintenance of internal control policies and procedures, corporate accounting, regulatory and financial reporting, financial analysis, accounts payable, accounts receivable, and fixed assets. This is 100% remote within the United States.</p><p><br></p><p>Duties for the <strong>Interim</strong> Chief Accounting Officer:</p><p>• Guiding financial decisions by establishing, monitoring, and enforcing policies and procedures</p><p>• Protecting assets by establishing, monitoring, and enforcing internal controls</p><p>• Development of accounting policies and procedures for the company. As the company continues to grow and expand the business need to reassess and propose new policies and procedures to address the evolving business needs</p><p>• Identifying, developing, and documenting accounting issues and making recommendations using independent judgment concerning areas being reviewed</p><p>• Working closely, collaboratively, and strategically with the Finance leaders and CFO to identify, and prevent control breakdowns in higher risk areas that could damage the organization’s brand, business sustainability, or customer loyalty</p><p>• Monitoring and confirming financial condition by conducting audits; providing information to external auditors.</p><p>• Tax strategy and planning, including coordination and review of income tax returns and federal and state financial reports in accordance with finance lending licenses</p><p>• Staying abreast of new accounting principles, SEC reporting and general trends within the financial services industry</p><p>• Developing, improving and issuing timely monthly financial records for Executive Management, Committees, and Board of Directors</p><p>• Providing status of financial condition by collecting, interpreting, and reporting financial data</p><p>• Preparing special reports by collecting, analyzing, and summarizing information and trends</p><p>• Complying with federal, state, and local legal requirements by studying existing and new legislation; anticipating future legislation; enforcing adherence to requirements; filing financial reports</p><p><br></p> Sr. Financial Analyst <p>We are in search of a Sr. Financial Analyst to join our client in the pharmaceutical industry, located in Dallas, Texas. In this role, you will be tasked with numerous responsibilities related to financial analysis and reporting, budgeting, and cost management. </p><p><br></p><p>Responsibilities:</p><p><br></p><p>• Assist in establishing strategic financial objectives through detailed analysis.</p><p>• Ensure accurate and efficient financial reporting and interpretation.</p><p>• Collaborate with the finance and management team to assess and develop crucial financial information.</p><p>• Implement cost-saving initiatives based on analytical findings.</p><p>• Utilize business systems and data mining techniques for financial modeling and forecasting.</p><p>• Take part in staff meetings, conference calls, and other relevant meetings.</p><p>• Handle additional tasks related to financial analysis as required.</p><p><br></p><p> If interested, please send your resume to [email protected]</p> Senior Financial Analyst <p>Robert Half Finance and Accounting and Kevin Sweet have partnered with a leading global client for a newly created Senior Financial Analyst. Our client is recognized for their leadership in the industry, commitment to innovation, and dedication to operational excellence. They are seeking a dynamic and results-driven Senior Financial Analyst to provide critical financial insights to their leadership team and help drive strategic business decisions globally.</p><p>The Senior Financial Analyst will play a key role in financial reporting, budgeting, forecasting, and strategic analysis. This individual will work closely with senior leadership and cross-functional teams to assess financial performance, identify opportunities for improvement, and deliver actionable insights that support business objectives. The ideal candidate will possess strong analytical skills, business acumen, and the ability to thrive in a fast-paced, global environment.</p><p><br></p><p>For additional information and consideration, please contact Kevin Sweet directly at 682-499-1182 or via email at [email protected]</p><p><br></p><p>You can also connect and message me on LinkedIn. Bing or Google search (“Kevin Sweet” AND “Robert Half Finance and Accounting”)</p><p><br></p><p>My client is offering a competitive salary and benefits package, has beautiful offices and offers a hybrid working schedule.</p><p><br></p><p><strong>Key Responsibilities:</strong></p><ul><li>Lead the preparation of financial reports, forecasts, and budgets for various business units and departments.</li><li>Conduct detailed variance analysis and provide insights into financial performance.</li><li>Support monthly, quarterly, and annual financial close processes to ensure accuracy and compliance.</li><li>Develop and maintain complex financial models to forecast performance and evaluate business opportunities.</li><li>Partner with business leaders and department heads to provide strategic financial guidance and recommendations.</li><li>Assist with global financial consolidation and reporting across multiple regions.</li><li>Analyze financial data to identify cost-saving opportunities and revenue-enhancement strategies.</li><li>Present financial analysis and reports to senior leadership, highlighting key trends, risks, and opportunities.</li><li>Assist in the development and implementation of financial controls and best practices.</li><li>Stay up to date with financial regulations, standards, and market trends to ensure compliance and competitiveness.</li></ul><p><br></p> Tax Manager <p>Robert Half Finance and Accounting and Kevin Sweet have partnered with a leading global client for a newly created Tax Manager role. Our client is recognized for their leadership in the industry, commitment to innovation, and dedication to operational excellence. They are seeking a dynamic and results-driven Tax Manager to lead a team of tax professionals and play a pivotal role in managing tax compliance, reporting, and planning functions on a global scale.</p><p><br></p><p>The <strong>Tax Manager</strong> will oversee and manage the organization’s tax compliance, reporting, and planning activities to ensure adherence to all applicable tax laws and regulations. This individual will collaborate closely with senior leadership, accounting, and finance teams to develop and implement effective tax strategies, manage risk, and optimize tax functions across the organization. The Tax Manager will also be responsible for leading a team of tax professionals and ensuring accurate tax filings and effective tax planning processes.</p><p><br></p><p>For additional information and consideration, please contact Kevin Sweet directly at 682-499-1182 or via email at [email protected]</p><p><br></p><p>You can also connect and message me on LinkedIn. Bing or Google search (“Kevin Sweet” AND “Robert Half Finance and Accounting”)</p><p><br></p><p>My client is offering a competitive salary and benefits package, has beautiful offices and offers a hybrid working schedule.</p><p><br></p><p><strong>Key Responsibilities:</strong></p><ul><li>Lead and manage the preparation and filing of federal, state, and international tax returns, ensuring compliance with all applicable tax laws and regulations.</li><li>Oversee the company’s tax compliance processes, ensuring timely and accurate filings.</li><li>Collaborate with senior leadership and cross-functional teams (including accounting and finance) to align tax strategies with business objectives.</li><li>Develop and implement tax planning strategies to optimize tax positions, minimize tax liabilities, and manage tax risks across multiple jurisdictions.</li><li>Review and manage indirect tax filings, including sales and use tax, VAT, and other indirect taxes.</li><li>Coordinate and manage audits by tax authorities and ensure timely resolution of any tax-related matters.</li><li>Provide guidance and mentorship to a team of tax professionals, ensuring professional development and high-quality work.</li><li>Stay up to date on changing tax laws, regulations, and industry trends to ensure the company’s tax strategies remain compliant and competitive.</li><li>Advise senior leadership on the impact of tax laws and proposed changes to business operations and financial strategies.</li><li>Review and manage transfer pricing documentation and other international tax compliance matters.</li><li>Lead tax research and provide recommendations on complex tax issues to ensure compliance and optimize tax planning opportunities.</li></ul> VP/Director of Finance <p>We are currently seeking a VP/Director of Finance to join our team in Dallas, Texas. As a VP/Director of Finance, you will work closely with the Division President and other team members to lead the division's growth and day-to-day operations. You will also be tasked with overseeing the financial aspects of our homebuilding business, including budgeting, auditing, and managing Accounts Payable.</p><p><br></p><p>Responsibilities:</p><p><br></p><p>• Oversee the financial management of homebuilding operations</p><p>• Collaborate with Sales, Land, and Procurement teams to ensure financial efficiency</p><p>• Lead the annual budget process and provide strategic financial input and leadership on decision-making issues affecting the organization</p><p>• Manage the use of financial and accounting software systems such as JDE & Excel, Concur, and CRM</p><p>• Ensure compliance with accounting standards and regulatory requirements</p><p>• Oversee accounts payable process to ensure timely and accurate payment of invoices</p><p>• Conduct regular audits to ensure accuracy and transparency in financial reporting</p><p>• Manage financial aspects of employee relocation as needed, including coordinating packing and moving, providing contract allowances, and arranging contract living accommodations</p><p>• Oversee the management of company benefits including MDV plans, 401k match, holidays, and vacation time</p><p>• Responsible for processing and managing bonuses and long-term incentives.</p> Accounting Manager/Supervisor <p>We are in search of an Accounting Manager/Supervisor to join our team in Fort Worth, Texas. The role involves overseeing all accounting functions, including but not limited to, adjusting entries, financial statements, work in progress schedules, and supervising AP and Payroll. The successful candidate will be directly reporting to the CFO and President.</p><p><br></p><p>Responsibilities: </p><p><br></p><p>• Oversee the work of 1-2 team members in the accounting department</p><p>• Handle all accounting functions to ensure accuracy and compliance</p><p>• Create and adjust entries as required</p><p>• Produce comprehensive financial statements for internal use</p><p>• Maintain work in progress schedules efficiently</p><p>• Supervise all activities related to Accounts Payable and Payroll</p><p>• Use Accounting Software Systems and ERP </p><p>• Oversee the Accounts Receivable process to ensure timely collection</p><p>• Perform auditing and billing functions as per the requirement.</p> Financial Analyst We are offering an exciting opportunity for a Financial Analyst in the retail industry, located in Lewisville, Texas, United States. As a Financial Analyst, you will be involved in a wide range of financial operations including developing and maintaining financial models, creating dynamic dashboards, collaborating with various teams, conducting month-end activities, and performing detailed financial analysis. <br><br>Responsibilities<br>• Accurately develop and maintain financial models using advanced Excel techniques and PowerBI to aid in budgeting and strategic planning.<br>• Construct and manage dynamic dashboards and visualizations in PowerBI to provide real-time financial insights.<br>• Work in collaboration with cross-functional teams such as supply chain and operations to align financial data and objectives.<br>• Conduct month-end activities including the preparation of financial reports, variance analysis, and communicating the results to shareholders and senior management.<br>• Use budgeting software to assist in the preparation and management of budgets and forecasts, ensuring their accuracy and alignment with the organization's goals.<br>• Carry out detailed financial analysis to identify trends, risks, and opportunities, and present these findings to leadership.<br>• Conduct comprehensive financial analysis including variance analysis and profitability analysis.<br>• Continuously identify and implement improvements to enhance efficiency and effectiveness in financial processes. Director of Accounting We are in search of a Director of Accounting for our team in Dallas, Texas, 75201, United States. The Director of Accounting will be instrumental in supporting the Reporting and Revenue organization, ensuring compliance with accounting standards, and spearheading transformative projects and process enhancements. <br><br>Responsibilities <br><br>• Oversee and manage a team, fostering a collaborative and efficient work environment<br>• Take charge of Financial Reporting and Revenue accounting <br>• Prepare and present Financial Statements to high-level executives<br>• Collaborate with finance and business operations teams to streamline and improve accounting processes<br>• Establish and enforce internal controls and standards<br>• Enhance system integrations and process automation for better efficiency<br>• Ensure revenue recognition is timely and accurate, in line with ASC 606 standards<br>• Contribute to RFP processes<br>• Maintain confidentiality and safeguard the organization’s value by keeping information secure<br><br>Skills<br><br>• Proficiency in Auditing, ASC 606, Financial Reporting, and Public Accounting Audit <br>• CPA certification preferred <br>• Strong Microsoft Excel skills, including knowledge of advanced formulas and functions<br>• Excellent verbal and written communication skills<br>• Ability to interact productively with multiple stakeholders including clients, employees, and partners<br>• Detail-oriented, organized, and a self-starter able to work in a fast-paced environment Sr. Financial Analyst <p>We are in the process of recruiting a Sr. Financial Analyst to join our Real Estate client in Lewisville, Texas. The individual will be involved in various financial operations, including but not limited to budget planning, forecasting, and conducting research and variance analysis. They will also contribute to the preparation of monthly reports, commentary, and assist with the month-end reporting process. For immediate consideration, please send your resume to Carol Nichols, SVP Robert Half Finance and Accounting, to [email protected]. </p><p><br></p><p>Responsibilities:</p><p>• Provide a high level of business partnership to the AVP and VP of Finance.</p><p>• Collaborate effectively with other functions to meet finance objectives.</p><p>• Assume a lead role in the creation and delivery of monthly business review presentations.</p><p>• Conduct in-depth analysis of variance drivers to identify root causes; prepare and present recommendations for improvements or mitigation to AVP and VP of Finance.</p><p>• Track risks and opportunities in forecasting, ensuring transparency to finance leadership to avoid unexpected outcomes.</p><p>• Recognize control gaps and propose recommendations for improvements or mitigation to AVP and VP of Finance.</p><p>• Calculate monthly and quarterly incentive compensations and provide monthly reports on progress towards goals.</p><p>• Handle ad-hoc financial analysis, analytical modeling, and corporate consolidation.</p><p>• Support the monthly forecasting and close processes, including balance sheet reconciliation.</p><p>• Conduct budgeting and forecasting activities efficiently.</p> Director of Finance <p>We are seeking a Director of Finance for our SaaS client in Dallas, Texas. This key position will involve managing all aspects of financial reporting, budgeting, and forecasting, as well as working closely with executive teams and cross-functional departments to drive growth and strategic alignment.</p><p><br></p><p>Responsibilities:</p><p>• Oversee the consolidation of monthly financial reports, forecasts, and budgets to ensure accuracy and efficiency.</p><p>• Engage collaboratively with the Executive teams, Divisional Presidents, and other Financial Planning & Analysis (FP& A) groups to devise and implement financial strategies that support business goals.</p><p>• Conduct in-depth analysis of business performance metrics, identifying trends and discrepancies to provide valuable insights and recommendations for enhancement.</p><p>• Develop comprehensive financial reports for monthly presentations to the Executive Leadership Team (ELT) & Board, emphasizing key performance indicators and strategic implications.</p><p>• Collaborate with cross-functional teams to evaluate business opportunities, assess investment proposals, and advance operational initiatives.</p><p>• Establish best practices in financial planning and analysis to improve accuracy, efficiency, and responsiveness to fluctuating business conditions.</p><p>• Stay informed about industry trends, competitive landscape, and regulatory changes to guide financial strategies and business planning.</p><p>• Foster a culture of analytical rigor and detail-oriented growth within the FP& A team through mentoring and development initiatives.</p><p>• Uphold compliance with financial regulations and maintain effective internal controls within the business unit.</p><p><br></p><p> If interested, please send your resume to [email protected]</p> Transaction Success Analyst 1. Communicate with clients to gather the appropriate financial information <br>2. Analyze financial data for trends and anomalies <br>3. Develop innovative approaches to produce deliverables that show the solution to a client’s questions <br>4. Work with our team to make financial recommendation or opinions based on financial analysis performed <br>5. Assess the economic performance of the client’s practice <br>6. Respond to client inquires & questions in a detail oriented and timely manner <br>7. Provide information for clients to lenders to facilitate lending process Senior Treasury Analyst <p>Management Resources has a 3-6 month project for a Senior Treasury Analyst located onsite in Irving. The Senior Treasury Analyst will be responsible for day-to-day operations in the treasury function, including managing checks, wire and ACH payments, bank reconciliations, and cash applications. </p><p><br></p><p>Responsibilities:</p><p>• Management of daily treasury operations</p><p>• Establishing wire and ACH payments</p><p>• Conducting bank reconciliations regularly</p><p>• Assisting in cash application processes</p><p>• Ensuring completeness and accuracy of payment information</p><p>• Regular tracking and follow-ups on uncleared payments to minimize outstanding checks</p><p>• Spearheading treasury process improvement initiatives</p><p>• Collaborating with accounts payable and accounts receivable teams</p><p>• Utilizing banking technology platforms for efficient treasury management</p><p>• Applying advanced Excel skills for data management and analysis.</p> Accounting Manager- Special Projects <p>We are in the process of recruiting an Accounting Manager - Special Projects for our operations based out of Fort Worth, Texas, 76102, United States. This role primarily revolves around leading special projects, which includes introducing new general ledger systems, implementing novel accounting procedures, analyzing data, and enhancing system operations. The ideal candidate should possess a strong understanding of accounting & financial systems, data analysis skills, and project management expertise.</p><p><br></p><p>Responsibilities:</p><p>• Lead the implementation of new general ledger systems</p><p>• Develop and put into action new accounting processes and procedures to enhance efficiency and guarantee compliance with financial regulations</p><p>• Carry out analysis of financial data to recognize trends, anomalies, or areas that need improvement</p><p>• Collaborate with Accounting, IT, and Finance teams to ensure seamless interaction between financial and other business systems</p><p>• Manage cross-functional teams to deliver special projects related to financial systems and procedures within the stipulated time and budget</p><p>• Take initiative in identifying and addressing issues and challenges related to financial systems</p><p>• Regularly present updates, results, and insights related to projects to the management team</p><p>• Ensure effective use of Accounting Software Systems for smooth operations</p><p>• Implement process improvements and adjustments in line with the company's policies and procedures</p><p>• Demonstrate proven project management skills in overseeing process improvement projects.</p> Accounting Manager - Contract-To-Hire <p>We are offering a contract-to-hire opportunity for an Accounting Manager in north Fort Worth, Texas (alliance area). This role is within the non-profit sector and requires overseeing various accounting functions for multiple companies, both on a national and international level. This includes the supervision of accountants with experience in the field, the preparation and consolidation of financial statements, and the execution of special projects among other duties. The position will be onsite until trained and then 3 days in/2 days remote. managing 2-3 people.</p><p><br></p><p>Responsibilities:</p><p><br></p><p>• Oversee and manage a team of accountants with experience in the field</p><p>• Prepare and consolidate financial statements for multiple companies</p><p>• Conduct monthly account analysis to ensure accuracy and compliance</p><p>• Lead the annual audit and tax-return preparation and filings</p><p>• Utilize accounting software to facilitate financial tasks and reporting</p><p>• Ensure compliance with US GAAP in financial statement preparation</p><p>• Execute special projects as and when required</p><p>• Resolve any accounting issues or discrepancies that arise</p><p>• Utilize Oracle Cloud financial software for various accounting functions</p><p>• Oversee the month-end close process and ensure timelines are met</p><p>• Analyze financial statements for accuracy and insights.</p><p><br></p><p><strong>This individual will be responsible for various aspects of accounting for a multi-national non-profit organization. Duties will include supervision of degreed accountants, financial statement preparation and consolidation for multiple companies, annual audit and tax-return preparation and filings, monthly account analysis, special projects, and other duties as assigned. Knowledge of US GAAP financial statement preparation, excellent accounting software package experience, and strong Excel skills are required. Oracle Cloud financial software is a plus.</strong></p><p><strong> </strong></p><p><strong>The ideal candidate will have 7+ years comparable experience, exhibit strong character, integrity, morals, and work ethic. They will also display sound judgment, like to work in a team environment demonstrating excellent communication and interpersonal skills, as well as good analytic and problem-solving abilities.</strong></p><p><br></p><p><strong>Top Keys: </strong></p><p>1. previous manager experience</p><p>2. non profit background</p><p>3. Oracle Cloud/Fusion</p> Accounting Manager - Corporate <p>We are offering an exciting opportunity for an Accounting Manager - Corporate within the construction/contractor industry, based in Arlington, Texas. The role is central to maintaining financial accuracy and ensuring smooth operations within the organization.</p><p><br></p><p>Responsibilities:</p><p><br></p><p>• Manage month-end close procedures, providing timely and accurate financial reports</p><p>• Utilize ERP - Enterprise Resource Planning and Accounting Software Systems for financial analysis and reporting, ensuring data integrity</p><p>• Handle cash management and maintain a comprehensive record of fixed assets</p><p>• Conduct internal audits to ensure compliance with financial regulations and policies</p><p>• Oversee billing functions, ensuring accuracy and promptness</p><p>• Utilize Great Plains (GPAC) and ADP - Financial Services for streamlining accounting functions</p><p>• Provide management with regular updates and important financial insights</p><p>• Lead and manage a team, fostering a positive work environment</p> Sr. Financial Analyst <p>We are seeking a Sr. Financial Analyst to join our client's team in North Fort Worth, Texas. In this role, you will play a key role in financial planning and analysis, providing strategic insights to help guide decision-making. You will collaborate with various departments, analyze financial data, and prepare reports that will help shape the future of our client's operations. For immediate consideration, please email your resume to Carol Nichols, SVP Robert Half Finance & Accounting, to [email protected]. </p><p><br></p><p>Responsibilities</p><p>• Collaborate with various departments to support strategic financial planning and decision making.</p><p>• Analyze financial data and prepare reports to provide insights to senior management.</p><p>• Provide financial planning and analysis support for multiple projects.</p><p>• Conduct budgeting, forecasting, and long-range financial planning.</p><p>• Support monthly, quarterly, and annual close processes, providing explanations for results.</p><p>• Prepare monthly analysis on key financial statement accounts, including income statements and balance sheets.</p><p>• Conduct cash flow forecasting and analysis, presenting results to key stakeholders.</p><p>• Review and analyze profit and loss statements to ensure accuracy and compliance with GAAP and company standards.</p><p>• Verify the accuracy of monthly revenue and expenses.</p><p>• Lead financial projects including cost analysis, return on investment analysis, and client/customer growth analysis.</p><p>• Serve as a business partner across functions, providing guidance and partnering on projects.</p><p>• Create, build, and manipulate dashboards using large sets of data.</p><p>• Prepare and present financial results to various stakeholders and executive leadership.</p>
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