We are looking for an experienced Controller to lead accounting and financial operations for a Long-term Contract position based in Atlanta, Georgia. This role will oversee core financial activities, support executive decision-making with accurate reporting, and strengthen processes that promote accountability across the organization. The ideal candidate brings strong leadership, sound judgment, and the ability to balance strategic priorities with hands-on execution in a fast-paced environment.<br><br>Responsibilities:<br>• Oversee day-to-day finance and accounting activities across payables, receivables, billing, collections, and payroll functions.<br>• Direct the monthly and annual close process, including balance sheet reconciliations, income statement review, and general ledger analysis.<br>• Develop and maintain short-term and monthly cash flow projections while managing daily cash position needs.<br>• Improve billing cadence and cash collection practices to support healthy liquidity and timely receipt of funds.<br>• Prepare and deliver recurring financial reports and performance updates for executive leadership and key stakeholders.<br>• Support the annual budgeting process and periodic forecasting, then track results against plan throughout the year.<br>• Assess accounting procedures and internal controls, recommending enhancements that improve accuracy, compliance, and efficiency.<br>• Provide leadership to accounting staff, setting priorities, guiding performance, and fostering a collaborative team environment.
We are looking for an experienced FP& A Director to support a business services organization in Atlanta, GA through a Long-term Contract engagement. This role is suited for a finance leader who brings deep expertise in corporate planning, performance analysis, and team leadership within large, complex companies. The ideal candidate will help guide budgeting, forecasting, and financial decision-making while partnering closely with leadership to improve visibility into business performance.<br><br>Responsibilities:<br>• Lead enterprise-wide financial planning activities, including budgeting, forecasting, and long-range planning across the organization.<br>• Build and refine financial models that support strategic decisions, operational priorities, and performance management.<br>• Oversee the annual operating plan process and ensure timelines, assumptions, and outputs align with business objectives.<br>• Deliver insightful analysis on financial results, trends, risks, and opportunities to executive stakeholders.<br>• Partner with cross-functional leaders to evaluate business performance and recommend actions that improve financial outcomes.<br>• Manage and mentor FP& A team members, setting clear expectations and elevating the quality of analysis and reporting.<br>• Develop reporting frameworks and dashboards that provide timely, accurate visibility into key financial and operational metrics.<br>• Support complex finance initiatives, including process improvements and any relevant system-related changes impacting planning and reporting.<br>• Ensure planning assumptions are grounded in sound business logic and informed by historical results and future growth expectations.
We are looking for a Partnership Tax Manager to support a software organization in Atlanta, Georgia through a Long-term Contract engagement. This part-time opportunity is expected to average 20 hours per week and is ideal for an experienced, detail-oriented tax specialist who can guide partnership tax activities with accuracy and strong follow-through. The person in this role will work across internal stakeholders and external providers to keep filings, reviews, and deliverables on track while maintaining a high standard of compliance.<br><br>Responsibilities:<br>• Lead partnership tax activities from planning through completion, ensuring deadlines and deliverables are managed effectively.<br>• Examine tax workpapers for accuracy, completeness, and alignment with applicable reporting requirements.<br>• Direct the preparation and oversight of federal and state partnership tax filings in a timely manner.<br>• Serve as the primary point of coordination with outside tax service providers and other business partners.<br>• Partner with cross-functional teams to gather required information, resolve open items, and support efficient tax reporting.<br>• Apply structured project management practices to monitor progress, prioritize tasks, and address risks proactively.<br>• Support annual income tax provision activities related to partnership matters as needed.<br>• Provide guidance on partnership tax issues and recommend practical solutions to support compliance objectives.