Browse jobs Find the right job type for you Explore how we help job seekers Finance and Accounting Technology Marketing and Creative Administrative and Customer Support Legal Preview candidates Contract talent Permanent talent Learn how we work with you Executive search Finance and Accounting Technology Marketing and Creative Administrative and Customer Support Legal Technology Risk, Audit and Compliance Finance and Accounting Digital, Marketing and Customer Experience Legal Operations Human Resources 2025 Salary Guide Demand for Skilled Talent Report Building Future-Forward Tech Teams Job Market Outlook Press Room Salary and hiring trends Adaptive working Competitive advantage Work/life balance Diversity and inclusion Browse jobs Find your next hire Our locations

35 results for Controller in Egg Harbor Township Nj

Plant Controller <p>Thriving, Wilmington Delaware client is looking to add a Plant Controller with a proven cost accounting background to join their finance department. As the Plant Controller, you will monitor and report on KPIs, develop and implement revenue generating process improvement opportunities, oversee labor reporting and cost for all departments, prepare budgets, assist with the month end close process, and oversee inventory levels to ensure proper shipping and returns. This successful candidate will you will succeed by strategically planning and directing accounting operations while developing operating procedures that are consistent with internal policies and procedures. </p><p><br></p><p>Major Responsibilities</p><p>• Assist with monthly/annual budgeting & forecasting</p><p>• Create internal control guidelines</p><p>• Generate monthly financial forecasts</p><p>• Provide cost accounting analysis</p><p>• Oversee inventory for raw materials and finished goods</p><p>• Perform risk analysis</p><p>• Establish compliance with all GAAP requirements</p><p>• Prepare and present financial reports</p><p>• Assist management as needed</p><p>• Recommend process improvements</p> Controller <p>We are in need of a Controller to spearhead the accounting operations of our business that operates in multiple locations. Situated in the Greater Philadelphia area, the selected Controller candidate will be tasked with ensuring precise financial reporting, promoting process efficiency, ensuring compliance, and managing cash. </p><p><br></p><p>Responsibilities: </p><ul><li>Oversee the daily accounting function and lead the monthly close process, including bookkeeping, payroll, accounts receivable/payable, and financial reporting for 10+ branches.</li><li>Manage and develop a team of accounting professionals across multiple locations, fostering a culture of accountability and excellence.</li><li>Provide insights into financial performance including budget variance to support strategic decision-making.</li><li>Oversee architecture of accounting software to maintain accurate records and streamline processes.</li><li>Own payment processing relationship and any secondary financial IT systems.</li><li>Prepare account reconciliations and verify records are kept to accounting standards.</li></ul> Controller <p>Robert Half is looking for an ambitious Controller to join a well-respected company. The Controller plans and directs all accounting operational functions, manages the accumulation and consolidation of financial data for internal and external financial statements, analyzes accounting and internal control systems, and guides departmental staff. Working with this company, you will receive competitive and comprehensive compensation and benefits package, as well as strong career growth. We are seeking an individual for this role who is able to motivate others by maintaining a positive professional attitude; exhibit integrity, reliability and leadership; and is capable of providing exceptional client services by managing self and others by responding with a sense of urgency, practicality and accountability. This permanent position is for a Controller who will work in the South Jersey region.</p><p><br></p><p>What you get to do every single day:</p><ul><li>Manage all financial aspects of the company, including budgeting, forecasting, and financial reporting.</li><li>Oversee and review the preparation of financial statements, ensuring accuracy and compliance with accounting principles and regulations.</li><li>Develop and implement financial policies and procedures to improve efficiency and control.</li><li>Monitor cash flow, accounts payable, and accounts receivable to ensure financial stability.</li><li>Coordinate with external auditors and tax advisors to ensure timely and accurate tax filings and audits.</li><li>Analyze financial data to identify trends, variances, and opportunities for cost savings and revenue growth.</li><li>Prepare detailed financial reports for management, highlighting key performance indicators and financial metrics.</li><li>Collaborate with other departments to support business operations and strategic initiatives.</li><li>Provide financial guidance and support to senior management and other stakeholders.</li></ul><p><br></p><p><br></p> Financial Controller <p>Robert Half has partnered with a dynamic organization in search of a Financial Controller on a short-term contract basis to join our team in Philadelphia, Pennsylvania. As a Financial Controller, the role will be centered around Financial Reporting, Month End Close, and Payroll operations.</p><p><br></p><p>What you get to do every single day:</p><p>• Oversee and manage all aspects of financial reporting within the organization.</p><p>• Ensure the timely and accurate preparation of monthly, quarterly, and annual financial statements.</p><p>• Supervise the month-end close process and ensure it is completed accurately.</p><p>• Manage payroll functions, ensuring that all procedures are carried out efficiently and in compliance with regulatory requirements.</p><p>• Develop and implement financial control procedures and systems to enhance financial performance.</p><p>• Monitor financial details to ensure that legal requirements are met.</p><p>• Coordinate with external auditors and manage internal controls.</p><p>• Oversee budget preparation and financial planning processes.</p><p>• Manage and track the performance of invested assets in alignment with company's policies and investment strategy.</p> Controller <p>Are you able to maintain a fast-paced work style without compromising on quality? Do you envision yourself advancing your career with a respected and successful company? At Robert Half, we're thrilled to present a fantastic job opportunity for the right professional. We’re seeking a <strong>Controller</strong> who will oversee all aspects of financial operations, ensuring accuracy in reporting, strict adherence to compliance standards, and the timely completion of all fiscal responsibilities—all while upholding the highest level of financial stewardship and integrity. This role is perfect for someone who strives for excellence in managing budgets, driving operational efficiency, and contributing to organizational success.</p><p><br></p><p>Responsibilities:</p><ul><li>Handle financial statement preparation on a monthly basis</li><li>Conduct account reconciliations, including bank, investment, and PayPal accounts</li><li>Oversee credit card reconciliation processes</li><li>Keep track of fixed assets and payroll allocations</li><li>Manage loan amortization tracking and prepaid schedules</li><li>Supervise vendor management, process and code bills, and execute approved payment disbursements</li><li>Ensure timely completion of compliance requirements, including Form 990 filing coordination and PA Charity registration renewal</li><li>Coordinate annual financial statement audit process and maintain audit support documentation</li><li>Attend and provide support for Board of Directors meetings, prepare financial schedules for board calls</li><li>Develop and maintain annual budgets and reforecasts, and conduct financial analysis as needed.</li></ul> Controller We are offering an exciting opportunity for a Controller to join our team in Philadelphia, Pennsylvania. The Controller will play a vital role in financial reporting, accounting operations, internal controls, compliance, process improvement, team leadership, and strategic planning. <br><br>Responsibilities:<br>• Effective management of all accounting functions, inclusive of accounts payable, accounts receivable, and general ledger.<br>• Preparation and presentation of financial statements on a monthly, quarterly, and annual basis.<br>• Conduct detailed variance analysis and provide insights into the company's financial performance, identifying areas for potential improvement.<br>• Supervision of the monthly, quarterly, and annual close processes to ensure timely and accurate financial reports.<br>• Development, implementation, and maintenance of internal controls to safeguard company assets.<br>• Ensure company-wide compliance with federal, state, and local regulatory requirements, as well as GAAP.<br>• Coordinate all audit activities and provide support to external auditors.<br>• Lead initiatives aimed at streamlining accounting processes and enhancing operational efficiency.<br>• Implement and optimize financial systems and tools to improve data accuracy and reporting capabilities.<br>• Manage and mentor a team of accounting professionals, fostering a collaborative and high-performance culture.<br>• Lead financial planning efforts to align resources with company goals and strategic initiatives.<br>• Collaborate with the executive team to develop long-term financial strategies and projections.<br>• Participate in financial modeling, scenario planning, and risk analysis to support business decisions. Controller <p>We are seeking a Controller to join our client's team located in the Robbinsville, New Jersey area. As a key member of the finance department in the manufacturing sector, the Controller will supervise team members and will be responsible for updating the company's financial records.</p><p><br></p><p><strong>Responsibilities:</strong></p><p>• Examining financial data and preparing precise reports to aid strategic decision-making</p><p>• Implementing and managing the EPICOR system to enhance financial operations</p><p>• Supervising the accounts payable and accounts receivable teams to ensure accurate and timely financial management</p><p>• Overseeing the close process, including conducting detailed analysis and accruals</p><p>• Ensuring compliance with GAAP and IFRS Accounting standards</p><p>• Applying financial expertise to assist with cost accounting tasks</p><p>• Guiding the Senior Accountant and fostering their detail-oriented growth</p><p>• Supervising the management of company benefits, ensuring compliance and optimization</p><p>• Taking over for the retiring controller and ensuring a seamless transition of responsibilities</p> Full Charge Bookkeeper <p>If you're looking for an exceptional opportunity, in the Philadelphia, Pennsylvania area, then you might be the Full Charge Bookkeeper Robert Half is looking for. In this Full Charge Bookkeeper role, you will collaborate closely with the finance and operations team to ensure accurate and efficient financial records. This role involves tasks such as managing vendor invoices, processing customer payments, and maintaining payroll records. If you are a Full Charge Bookkeeper who can multitask effectively and has strong organizational, and time-management skills, then this could be a great match for you! Click the apply today and get your career moving in the right direction. If you have any questions, please contact Robert Half at 215.568.4580 and mention JO# 03720-0012792053.</p><p> </p><p>As a Full Charge Bookkeeper your responsibilities include but are not limited to:</p><p> • Keep track of daily bank transactions and notify the relevant team of any incoming cash gifts</p><p><br></p><p>• Ensure accurate and organized record-keeping of customer credit applications and receipts</p><p><br></p><p>• Manage vendor files, forms, and reports, and process payments to vendors on a regular basis</p><p><br></p><p>• Handle payroll duties, including the onboarding of new hires, maintaining electronic files of payroll registers, and updating staff attendance records</p><p><br></p><p>• Oversee the maintenance and updating of manual logs for various bank accounts</p><p><br></p><p>• Prepare and process monthly Journal entries of payroll, deductions, taxes, and post into the general ledger</p><p><br></p><p>• Manage petty cash transactions and keep an updated log</p><p><br></p><p>• Reconcile monthly G/L accounts to all bank statements</p><p><br></p><p>• Use accounting software systems to code and enter contributions and other cash receipts</p><p><br></p><p>• Carry out ad-hoc projects as needed for the Controller and Senior Director, Finance, and Operations.</p><p><strong> </strong></p> Accounting Manager <p>Exclusive manufacturer, located outside of the Greater Philadelphia area seeks an Accounting Manager with proven accounting experience. The Accounting Manager will be responsible for updating, developing and maintaining accounting principles, practices and procedures to ensure accurate and timely financial statements. This Accounting Manager position addresses tight deadlines and a multitude of accounting activities including general ledger preparation, assisting with financial reporting and year-end audit preparation as well as support of the budget and forecast activities.</p><p><br></p><p>Responsibilities</p><ul><li>Manage and maintain the general ledger structure for accuracy</li><li>Ensure comprehensive and timely monthly, quarterly, and year-end closures</li><li>Oversee the accurate and prompt reporting of all monthly financial data</li><li>Assist in daily banking requirements, including bank reconciliations</li><li>Manage the accurate and timely processing of all cash receipt transactions</li><li>Oversee monthly and quarterly Bank Compliance activities to ensure they are performed accurately and promptly</li><li>Contribute to budget and forecasting activities</li><li>Analyze departmental work to develop more efficient procedures and better use of resources while maintaining a high level of accuracy</li><li>Assist in the development and implementation of new procedures and features to improve the workflow of the department</li><li>Support Controller with special projects and workflow process improvements</li></ul> Cost/Project Accountant We are seeking a Cost/Project Accountant in Philadelphia, Pennsylvania. In this role, you will actively participate in month-end closings, handle project accounts, and interact with various departments. You will be working in a dynamic environment where your accounting expertise will be vital in maintaining our financial operations.<br><br>Responsibilities:<br><br>• Participate in month-end closing activities, including project closeouts.<br>• Oversee project accounts, ensuring closure upon project completion.<br>• Use the costing system to accumulate and review costs, comparing them to sales agreements.<br>• Accrue for expenses where supplier invoices have not yet been received or posted to project accounts.<br>• Monitor and prepare transfers of expenses, as approved, into and out of specific project accounts or job numbers.<br>• Review expense transactions posting to a project account for duplication.<br>• Verify the completeness of all transactions posting to a project account, including labor, materials, add-ons.<br>• Work with account executives to provide final costing and create final project billings to customers.<br>• Ensure the numerical accuracy of all billings sent to customers.<br>• Communicate with receivables staff regarding unpaid billings.<br>• Prepare information for external auditors, as required.<br>• Maintain detail-oriented relationships with other Corporate Departments such as HR, Accounting and Finance, Account Management, Account Directors, and IT.<br>• Develop comprehensive knowledge of various business processes and understand their impact on various transactional systems.<br>• Support the corporate controller with analyses of key balance sheet GL accounts, sorting and analyzing quarterly/annual sales budgets, and calculation/reconciliation of sales tax returns and balance sheet liability accounts. Accounting Manager <p>Robert Half is looking for an ambitious Accounting Manager to join a well-respected company. This Accounting Manager role is pivotal within our team, focusing on a range of accounting and financial tasks. You will be responsible for supervising month-end close process, balance sheet reconciliations, preparing financial statement packages, and leading the day-to-day financial operations. This Accounting Manager role will also involve managing a team of accountants, leading the year-end audit process, and working closely with the Head of Finance.</p><p><br></p><p>Responsibilities:</p><ul><li>Supervise the month-end close process inclusive of reviewing both the balance sheet and income statement to ensure all entries have been recorded accurately for the month.</li><li>Supervise the balance sheet reconciliation process to ensure all accounts have been reconciled prior to closing the month.</li><li>Prepare the financial statement package which includes face statements, fluctuation analysis, indirect cost analysis, intercompany interest calculation, cash forecast, and ASC 842 lease accounting on a quarterly basis.</li><li>Lead the day-to-day financial operations to ensure that invoices are being processed accurately and paid timely as well as ensuring bi-weekly payroll cycles for each studio are being processed accurately and timely.</li><li>Work closely with the revenue and cost business controllers to ensure any issues are resolved relating to budgeting and forecasting.</li></ul> Comptroller <p>Ignite your career as our client's dynamic Comptroller! Robert Half is on the hunt for a financial powerhouse to take the helm of our South Jersey client's financial operations. In this pivotal role, you'll oversee cash flow strategy, masterfully handle reconciliations, and ensure seamless regulatory compliance—all while steering our organization toward fiscal excellence. From crafting polished internal financial statements to leading the charge for the Political Action Fund and submitting critical reports to the Department of Labor, this is your chance to make a measurable impact. Ready to be the financial architect we’ve been waiting for? Let’s connect!</p><p><br></p><p>Responsibilities:</p><ul><li>Conducting bank reconciliations monthly to verify the accuracy of cash transactions and their alignment with bank statements</li><li>Overseeing cash management operations to ensure efficient disbursement of funds and maintenance of optimal cash reserves</li><li>Preparing and presenting internal financial statements on a regular basis, ensuring adherence to accounting standards and company policies</li><li>Preparing and submitting the required LM2 reports to the Department of Labor, accurately documenting union financial activities</li><li>Performing monthly General Ledger analysis to ensure accounts are accurately maintained and any discrepancies are promptly addressed</li><li>Collaborating with senior management to develop and maintain the organization’s annual budget, aligning financial goals with organizational priorities</li><li>Preparing and posting journal entries in accordance with company policies and accounting standards</li><li>Overseeing accurate reporting and filing of sales and use taxes, ensuring compliance with local, state, and federal regulations</li><li>Collaborating with the CPA firm during financial statement audits and internal audits, providing necessary documentation and addressing any findings or issues.</li></ul> Financial Associate We are looking for a Financial Associate to join our team based in Trevose, Pennsylvania. In this role, you will be responsible for a variety of financial and administrative tasks, including account management, invoicing, and financial audits. <br><br>Responsibilities:<br>• Utilize Quickbooks Online to manage and maintain client accounts<br>• Manage monthly administrative invoicing and distribution<br>• Communicate effectively with all entities associated with a client account, such as account managers, clients, sales representatives, and brokers<br>• Conduct bank account reconciliations and assist with any financial audits or inquiries<br>• Uphold and apply appropriate financial policies and procedures<br>• Execute daily deposits and distribution tasks<br>• Oversee accounts receivable management; prepare and track receipt of client invoicing<br>• Provide accounts payable support and backup accounts payable staff<br>• Monitor finance group email box and respond to inquiries in a timely manner<br>• Use Microsoft Excel and other tools for data management and reporting Tax Manager <p>Robert Half is looking for a Tax Manager to join our client! This Tax Manager will possess expertise in various types of tax returns and financial statements, along with proficiency in Excel and tax software and technology. Are you an experienced Tax Manager looking for a challenging role at an established company? Then this may be the role for you.</p><p><br></p><p>How you will make an impact</p><ul><li>Help with planning and compliance regarding tax matters, such as waivers and tax returns</li><li>Determine tax best business practices and relay to staff accountants and accounting managers</li><li>Examine and oversee quarterly and annual payroll tax returns</li><li>Prepare and reviewing complex income tax returns</li><li>Help with the preparation of quarterly tax projections and communication of required estimated tax payments</li><li>Produce and review tax correspondence and facilitation and oversight of tax audits</li><li>Help with compliance of tax and financial reporting procedures and policies</li><li>Assist in the review of the calculation and distribution of W-2s and 1099s</li></ul> Associate Director Internal Audit <p>Robert Half is seeking an Associate Director Internal Audit for its dynamic client in South Jersey. The Associate Director Internal Audit serves as the senior auditor charged with leading the internal audit function, emphasizing risk-based strategies that align with the company's business goals. This position is responsible for designing and implementing a robust internal audit program, which includes performance and operational audits for retail operations, along with financial and compliance reviews. Key duties involve collaborating with stakeholders to assess audit risks, applying industry best practices, and mentoring the internal audit team. </p><p><br></p><p>Responsibilities:</p><ul><li>Guide the internal audit team in organizing, planning, and monitoring internal audit operations.</li><li>Identify and evaluate our company's audit risk areas and develop an annual audit plan based on these risks.</li><li>Oversee the performance of audit procedures, including defining issues, setting criteria, analyzing evidence, and documenting our processes and procedures.</li><li>Lead the audit team in conducting interviews, reviewing documents, administering surveys, summarizing memos, and preparing working papers.</li><li>Direct the audit team in documenting audit issues and developing recommendations for improvement.</li><li>Communicate audit and consulting project results through written reports and oral presentations to all levels of management.</li><li>Foster productive, team-oriented relationships with staff, management, and executive levels through individual and group interactions.</li><li>Coordinate with the Legal and HR departments to lead the company's investigations into alleged fraudulent activity.</li><li>Undertake special projects as assigned by the company's upper management.</li></ul> Cost Accounting Manager We are seeking a Cost Accounting Manager to join our team in Philadelphia, Pennsylvania. As a Cost Accounting Manager, you will oversee the cost accounting team and manage all aspects of cost accounting functions. This includes everything from enhancing productivity and developing team KPIs to maintaining accurate expense accruals and providing valuable reporting. <br><br>Responsibilities:<br><br>• Oversee the cost accounting team and ensure smooth workflow<br>• Develop, understand, and utilize the costing system for cost accumulation<br>• Enhance team productivity by developing Key Performance Indicators<br>• Improve and document various processes<br>• Collaborate with the Account Management team to ensure accurate and timely job closures<br>• Identify opportunities to enhance margins on jobs<br>• Participate in the Month End closing process<br>• Ensure compliance with accounting policies and internal controls<br>• Provide valuable reporting for leadership<br>• Ensure appropriate and timely accrival of expenses to projects<br>• Monitor and approve transfers of expenses into and out of project accounts<br>• Verify the completeness of all transactions posting to a project account<br>• Coordinate with receivables staff regarding unpaid billings<br>• Compile information for external auditors as required<br>• Maintain detail-oriented relationships with other Corporate Departments<br>• Develop comprehensive knowledge of business processes and their impact on transactional systems<br>• Assist in the analysis of key balance sheet General Ledger accounts and in sorting and analyzing quarterly/annual sales budgets. Senior Manager of Cost Accounting <p>Global leader located in the South Philadelphia area seeks a Senior Manager of Cost Accounting with strong hands-on cost accounting expertise. In this role, you will review and control costs related to inventory, provide financial analysis, perform product manufacturing analysis, report on daily inventory, oversee the billing process, assist with journal entries, create and implement standard costs, perform audits, manage and update costs estimates, assist with reconciling client invoicing, follow-up on collection efforts, and research and resolve invoicing or billing discrepancies. The successful Sr. Cost Accountant will have proven product cost experience, GAAP knowledge, strong problem-solving skills, and excellent time management skills.</p><p><br></p><p>What you get to do everyday</p><p>·      Create annual standard cost updates</p><p>·      Inventory Analysis</p><p>·      Analyze pricing of goods and services</p><p>·      Account Reconciliation</p><p>·      Daily Cash Receipts</p><p>·      Generating financial reports and statements</p><p>·      Calculate labor rates for goods </p><p>·      Manage product cost and margin forecast</p><p>·      Assist with month end close</p><p>·      Implementing process improvements where needed</p><p>·      Ensure compliance with internal policies and procedures</p> Director, Accounting, Financial Reporting & Analysis <p>South Jersey, healthcare provider seeks a Director, Accounting, Financial Reporting & Analysis with healthcare expertise. This Director, Accounting, Financial Reporting & Analysis will conduct variance analysis and provide insights into financial performance, oversee the month end close process, monitor expense accruals, perform financial analysis, assist with fixed assets, maintain & resolve general ledger discrepancies, create solutions for process improvement, monitor cash flow, manage journal entry tracking, and assist with the financial planning process. If you hold a high level of financial modeling skills, have strong technical accounting abilities, and can safeguard company assets, this may be the role for you!</p><p><br></p><p>What you get to do everyday</p><p>·      Oversee month-end/year-end close process</p><p>·      Budgeting & Forecasting</p><p>·      Fixed Assets</p><p>·      Bank Reconciliations</p><p>·      Provide financial analysis</p><p>·      General Ledger Activities</p><p>·      Cash Inventory</p><p>·      Assist with the annual audit process</p><p>·      Recommend profitable initiatives </p><p>·      Provide management with monthly reports</p><p>·      Ensure compliance with external/internal controls</p> Accounting Manager <p>We are in search of an Accounting Manager to join our team in Philadelphia, Pennsylvania. This Accounting Manager role involves overseeing the daily accounting operations such as accounts payable and receivable, as well as general ledger entries. As the Accounting Manager, you will also be tasked with preparing financial reports and ensuring compliance with relevant regulations.</p><p><br></p><p>Responsibilities:</p><ul><li>Streamline accounting operations, including accounts payable, accounts receivable, and general ledger entries</li><li>Safeguard financial assets and ensure accurate financial reporting by maintaining robust internal controls</li><li>Monitor financial performance against the annual budget, cash flow, and investments</li><li>Collaborate with other departments to improve financial management practices</li><li>Ensure accurate and efficient month-end and year-end closing processes</li><li>Prepare and present financial reports for stakeholders as required</li><li>Stay updated with changes in accounting regulations and best practices</li><li>Monitor and analyze financial data to identify trends and recommend improvements</li><li>Ensure compliance with nonprofit accounting standards, GAAP, and relevant federal and state regulations</li><li>Assist with the implementation of new software to streamline processes.</li></ul> Finance Director <p>Established company in the Wilmington Delaware area is looking to staff a Finance Director with government or non-profit experience. This candidate will assist with treasury functions, purchasing, direct fiscal and management control functions, assist with real estate acquisitions, maintain debt management sales, drive the daily financial operations and financial planning for the organization while maintaining constant awareness of possible risks and investments. The Finance Director will also assess the organization’s financial performance and financial controls, providing guidance for profitability and long-term success.</p><p> </p><p>Primary Duties</p><p>·      Plan and manage financial strategy</p><p>·      Develop key financial models</p><p>·      Manage internal finance IT system</p><p>·      Provide financial analysis</p><p>·      Budgeting & Forecasting</p><p>·      Prepare financial reports and statements</p><p>·      Manage company cash flows</p><p>·      Provide cost benefit analysis</p><p>·      Oversee quarterly, monthly, annual audit process</p><p>·      Perform financial research as needed</p> Accounting Manager/Supervisor <p>We are in the process of recruiting an Accounting Manager/Supervisor for our expanding consulting business. The selected candidate will have the chance to work remotely with the exception of meeting clients 1 - 2x a week over 20-30 hours. Client is willing to provide a flexible schedule while providing general accounting support to our various clients and managing our own bookkeeping needs. The role includes a focus on month-end close duties, fixed asset management, and account reconciliations.</p><p><br></p><p>Responsibilities</p><p>• Oversee the processing of sales, purchases, receipts, and payments to manage company and client financials effectively.</p><p>• Implement and maintain an accurate record-keeping system for company and client fixed assets.</p><p>• Conduct monthly account reconciliations to ensure accuracy in financial records.</p><p>• Collaborate with clients to provide comprehensive accounting support, assist with account maintenance, and resolve any accounting issues.</p><p>• Execute month-end closing procedures accurately and within the designated time frame.</p><p>• Develop and present financial reports to ensure adherence to legal and regulatory requirements.</p><p>• Execute auditing and billing functions as part of the broader accounting responsibilities.</p><p>• Utilize accounting software systems, Concur, and ERP for effective enterprise resource planning.</p><p>• Perform other assigned duties related to accounting functions, accounts payable, and accounts receivable.</p> Associate Director of FP&A <p>Stable client located within the South Philadelphia area is looking to add an Associate Director of FP& A to their finance department. This role will consist of providing assistance with variance analysis, strategic insights, providing financial guidance by managing the monthly/annual budgeting process, preparing monthly and quarterly financial reporting, creating complex financial models through process analysis, forecasting revenues and expenditures, and developing process improvements. This Associate Director of FP& A should be able to own process integrations, support the strategic planning process, and work independently.</p><p><br></p><p>How you will make an impact</p><p>·      Manage the annual budget and strategic planning process</p><p>·      Provide quantitative analysis of finances</p><p>·      Conduct thorough research of historical financial data</p><p>·      Analyze business opportunities and investments</p><p>·      Lead efforts to business unit profitability</p><p>·      Prepare reporting packages and dashboards</p><p>·      Create revenue generating, strategic initiatives</p><p>·      Develop and gain deep business understanding of financial drivers</p><p>·      Meet appropriate business deadlines</p><p>·      Monitor performance indicators for profit and loss</p><p>·      Establish financial policies</p> FP&A Manager <p>Well-respected, financial services company seeks a FP& A Manager with expertise working with multi-dimensional databases. In this role, you will take appropriate steps to forecast the annual financial plan, create annual budgets, prepare monthly and quarterly financial reporting, consolidate reporting packages, monitor risks and revenue opportunities, review KPIs, analyze financial transactions, provide financial analysis, and assist with developing a long-term financial and strategic plan. The ideal candidate for this position will have a significant analytical skill set and firm quantitative abilities.</p><p><br></p><p>Major Responsibilities</p><p>·      Create annual budget plans</p><p>·      Review general ledger activities</p><p>·      Provide financial analysis</p><p>·      Budgeting & Forecasting</p><p>·      Analyze, research, and compare data</p><p>·      Balance sheet variance analysis</p><p>·      Develop investment strategies</p><p>·      Assist with projected financial goals</p><p>·      Prepare detailed reports</p><p>·      Recommend cost saving initiatives</p> Director of Finance <p>Robert Half is on the hunt for an energetic and seasoned Director of Finance to spearhead our client's financial strategies and processes. In this Director of Finance role, you'll report directly to the President and will be entrusted with managing all finance-related activities, with a goal to ensure the financial wellbeing of our organization, while aligning our fiscal strategies with business objectives. A critical facet of this role involves promoting operational and fiscal excellence throughout our port and marine terminal operations as the Director of Finance. Located in South Jersey, this is a great opportunity, so apply today!</p><p><br></p><p>Responsibilities::</p><ul><li>Manage the finance and accounting teams, fostering detail-oriented development and collaboration.</li><li>Develop and implement financial strategies in line with the company's growth and operational goals.</li><li>Provide advice to executive management on the financial implications of business activities, operational plans, and strategic decisions.</li><li>Oversee the budgeting, forecasting, and financial reporting processes.</li><li>Monitor financial performance, identify trends, and suggest corrective actions as needed.</li><li>Ensure compliance with GAAP and tax regulations.</li><li>Oversee internal controls and audit processes to ensure integrity and accountability.</li><li>Collaborate with operations teams to evaluate financial performance at contracted port sites.</li><li>Handle day-to-day accounting functions as needed. </li><li>Partner with other departments such as operations and sales to optimize financial and operational outcomes.</li></ul> Tax Manager - Public <p>Base salary: $80,000 - $110,000 Year + Bonus</p><p>Hybrid 3 days onsite 2 days from home, additionally flexibility provided, less than 40 hour week during the summer.</p><p>Benefits hybrid work, Medical, Dental, 401k, Beach days, food trucks,</p><p><br></p><p><br></p><p>2 roles open Tax Manager or Tax Supervisor</p><p><br></p><p>Well established small firm with 3 offices, with uncapped career potential. When you talk about work life balance in public accounting, at this company it rings true. As per the Managing Director “ we are unique in the way we operate. 2 interviews and done</p><p><br></p><p>As a Tax Manager you will be responsible for review of associates and Seniors.</p><p>• Serve as a Career Advisor, mentor or coach to one or more employees, which will include providing honest and timely performance feedback</p><p>• Provide detailed review and analysis of complex tax returns</p><p>• Work on multiple complex issues while communicating in a non-technical manner to facilitate communication between the client and the service team while managing the risk for both the client and the firm</p><p>• Serve as the Tax client service coordinator for appropriate clients</p><p>• Advise clients on a full spectrum of corporate tax services, including planning, research, compliance, and general mergers and acquisitions activities</p><p>• Reviewing research findings and ensure conclusions are consistent with firm policies and professional standards</p><p>• Assist with new business development, extended service and tax issue recognition for existing clients</p><p>• Manage corporate client needs with respect to tax services and federal and state tax compliance</p><p>• Remain up-to-date on current tax practices and changes in tax law</p><p>• Other duties as assigned</p><p>• Some travel may be required</p><p><br></p><p>Basic Qualifications:</p><p><br></p><p>• BA/BS Degree – preferably in Accounting or related field of study</p><p>• CPA, JD, LLM, or EA</p><p>• Minimum of 5 years of experience in Public Accounting</p><p>• Ability to work closely with clients to answer questions or to collect necessary information for tax service requirements</p><p>• Experience with the following: S-Corps, C-Corps, Partnerships</p><p>• Effective verbal and written communication skills</p><p><br></p><p><br></p><p>Qualifications</p><p><br></p><p>• Working knowledge of tax code and technical aspects of tax preparation and compliance</p><p>• Strong technical skills in accounting and tax preparation, industry specialization a plus</p><p>• Ability to handle multiple tasks simultaneously</p><p>• Experience preparing or reviewing accounting for income taxes in accordance with ASC 740’s</p><p>• Experience in dealing with international tax matters a plus</p>
2