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4 results for Tax Manager in Findlay Oh

Sr. Tax Accountant <p>Robert Half Finance & Accounting has partnered with a Toledo-area accounting services firm as they look to add an experienced Tax Accountant to their team. As the successful candidate, you will play an integral role in delivering results for a broad client base as you:</p><p><br></p><p>Responsibilities:</p><p><br></p><p>• Accurately and efficiently enter tax and accounting data into various software</p><p>• Reconcile entered information with supporting documents to ensure accuracy</p><p>• Assemble monthly accounting financial statements and tax returns for client delivery</p><p>• Maintain standards for achieving paperless goals by scanning necessary documents as needed</p><p>• Work effectively as a team member to complete project components and assignment tasks</p><p>• Develop and maintain professional relationships with colleagues and clients</p><p>• Gain knowledge of client businesses to better serve their needs</p><p>• Prepare and maintain financial data and records for assigned clients</p><p>• Develop a functional understanding of various tax programs, tax and research software, and internal workflow/procedures</p><p>• Accurately report and release billable and non-billable time consistently</p><p>• Perform bank account and other account reconciliations to validate the reported numbers</p><p>• Prepare Individual and Business tax returns as needed</p><p>• Ensure client compliance with all taxing authority requirements and represent client before taxing authorities as needed</p><p>• Respond to and complete other ad hoc projects as they arise.</p><p><br></p><p>Interested in this direct hire opportunity? Apply now and let's chat!</p> Controller We are seeking a Controller to join our team in the Utilities/Infrastructure industry, based in SYLVANIA, Ohio. As a Controller, you will play a critical role in overseeing the financial operations of our company, including managing budgets, preparing financial reports, and providing strategic insights to support business growth. <br><br>Responsibilities:<br>• Oversee financial operations, including accounts payable, accounts receivable, payroll, and general ledger functions<br>• Develop and monitor annual budgets and financial forecasts<br>• Prepare accurate financial statements, including profit and loss, balance sheets, and cash flow reports<br>• Conduct in-depth financial analyses to guide decision-making and business strategy<br>• Ensure compliance with tax regulations, financial policies, and internal controls<br>• Supervise and develop the accounting team, fostering a culture of continuous improvement in financial processes<br>• Collaborate with project managers to track job costing and project profitability<br>• Support service and maintenance departments in managing financial aspects of contracts and client accounts<br>• Coordinate with external auditors and prepare documentation for audits<br>• Partner with executive leadership to develop long-term financial strategies and provide recommendations on financial investments, cost management, and profitability enhancements. Controller <p>We are actively seeking a Controller to join our team in the Finance industry located in Shelby, Ohio, United States. The Controller will be responsible for managing all aspects of accounting; billing, financial statements, general ledger, payroll, accounts payable, accounts receivable, CIP and fixed assets, budgeting, revenue recognition, cash flow and various special analyses reporting to the group CFO.</p><p><br></p><p>Responsibilities:</p><ul><li>Work with CFO to set objectives and strategies for the department.</li><li>Provide oversight to the team while creating an environment of trust and productivity.</li><li>Manage and monitor all monthly close items, ensuring timely completion and compliance with appropriate GAAP standards, regulatory and business requirements.</li><li>Development of monthly business reviews that provide stakeholders with meaningful information that is timely, detailed and accurate to support decision making.</li><li>Maximize the efficiency of shared service functions (accounts receivable, accounts payable, cash management, and payroll) to effectively manage working capital.</li><li>Lead the planning of the financial forecasts and annual budgets.</li><li>Validate that fixed asset costs and supporting documentation are recorded accurately and timely.</li><li>Perform detailed cost and overhead analysis and recommend changes as/when needed.</li><li>Develop, implement, and maintain internal controls and guidelines both within and outside of the department.</li><li>Assist CFO as the department liaison with external relationships such as, but not limited to, banking, audit, insurance, tax, legal, etc.</li><li>Maintain departmental best practices, policies, and workflows, Documentation of procedures</li><li>Ensure compliance with GAAP for areas of responsibility</li><li>Prepare audit schedules to help facilitate completion of the audit</li><li>Lead both the department and organization in streamlining ERP enhancements to drive efficiencies and process improvements.</li><li>Perform ad hoc analysis where required to assist in management decision making.</li><li>Management of the month end close process from planning to reporting</li><li>Ensure Accounts receivable aging is accurate and collections are in line with company expectations.</li><li>Responsible for managing the Accounts receivable process maintaining accounts receivable aging report, follow up with customers on past due balances, provides additional information on short payments, adjustments, write-offs</li><li>Ensures the reconciliation of all balance sheet accounts to support documentation and creates journal entries</li><li>Creates monthly workpapers for all balance sheet accounts</li></ul><p><br></p> Controller <p>We are in search of a Controller for our Construction team located in PERRYSBURG, Ohio, 43551-7142, United States. The Controller will be instrumental in managing and executing our accounting functions, utilizing accounting software systems, and overseeing our budget processes. </p><p><br></p><p>Responsibilities </p><p>• Oversee and manage all accounting functions</p><p>• Utilize accounting software systems for efficient financial management</p><p>• Develop and maintain budget processes to ensure financial stability</p><p>• Ensure accurate record-keeping of all financial transactions</p><p>• Manage financial inquiries and provide timely resolutions</p><p>• Monitor financial accounts for discrepancies and take corrective action when necessary.</p>