<p>Robert Half Finance & Accounting has partnered with an organization in St. Louis seeking a full-time Accounting Manager. The Accounting Manager must be able to work in a deadline driven environment with a high attention to detail and possess good communication skills to manage the accounting department. </p><p><br></p><p><strong>Accounting Manager Responsibilities:</strong></p><p>· Oversee and perform all core accounting activities</p><p>· Lead month-end and year-end close processes</p><p>· Prepare and review financial statements</p><p>· Complete account reconciliations and resolve variances</p><p>· Provide financial analysis and management reporting</p><p>· Supervise and support the accounting department</p><p><br></p><p><strong>Accounting Manager Minimum Qualifications: </strong></p><p>· Bachelor degree in Accounting or Finance</p><p>· 5+ years of full-cycle accounting experience, including leadership or supervisory responsibility</p><p>· Intermediate Excel skills and experience working within an ERP system</p><p><br></p><p>This position offers a competitive salary along with a comprehensive benefits plan. For more information and a confidential discussion, please apply online or contact Ricky Rozycki via LinkedIn.</p>
Robert Half Finance & Accounting Contract Talent is currently seeking a Treasury Analyst for an immediate contract-to-hire opportunity. This role is ideal for a motivated accounting or treasury professional who enjoys working independently, solving problems, and managing critical cash management activities in a fast-paced environment. The Treasury Analyst will play a key role in daily cash reporting, bank reconciliations, treasury operations, and supporting an ongoing company acquisition and system integration project.<br><br>Key Responsibilities:<br>Update and distribute the daily cash position report prior to 9:30 AM each morning.<br>Perform cash application activities and account reconciliations.<br>Reconcile multiple operating, banking, and sweep accounts to the general ledger.<br>Work closely with Accounts Payable regarding exception checks, positive pay items, and related banking transactions.<br>Calculate and prepare interest expense entries and maintain debt schedules.<br>Assist with treasury-related activities involving an acquired company operating on Quantum and NetSuite.<br>Support the reconciliation of acquired company financial data and transition information into company records.<br>Research discrepancies, investigate variances, and resolve reconciliation issues.<br>Communicate with banking partners and internal departments as needed.<br>Participate in special projects and process improvement initiatives within the treasury function.<br><br>Qualifications:<br>Bachelor's degree in Accounting, Finance, or a related field preferred.<br>2+ years of treasury, banking, or accounting experience required.<br>Strong understanding of bank reconciliations, cash management, and general ledger accounting.<br>Advanced proficiency in Microsoft Excel.<br>Experience with Microsoft Dynamics GP preferred.<br>Exposure to debt schedules and interest calculations is a plus.<br>Experience with Quantum or NetSuite is highly desirable but not required.<br>Ability to work independently and take ownership of responsibilities.<br>Strong analytical, research, and problem-solving skills.<br>Comfortable asking questions, investigating issues, and finding solutions.<br>Highly organized with strong attention to detail and accountability.<br><br>Additional Details:<br>Schedule: Monday through Friday, 7:00 AM to 4:00 PM with some flexibility.<br>Work Environment: Onsite in a professional, business casual office setting.<br><br>If you meet the qualifications and are ready to take the next step, call us at (314) 262-4344 for immediate consideration. We look forward to speaking with qualified candidates!
Financial Analyst Are you ready to take your career in finance to the next level? Our company is seeking a motivated and analytical Financial Analyst to join our team on an ongoing basis. This position offers exposure to a broad range of financial activities and the chance to make a direct impact on our business performance. Key Responsibilities: Analyze financial data and prepare reports to support management decision-making Develop budgeting, forecasting, and financial modeling for business units or projects Review historical and projected financial performance Track key performance indicators (KPIs) and variances, providing actionable insights Partner with cross-functional teams to support strategic initiatives Support month-end and year-end closing processes Why Join Us? Work with a collaborative and results-driven finance team Ongoing opportunity with room for detail oriented development and growth Exposure to complex business challenges in a supportive environment Ready to accelerate your finance career? Apply today online or through our Robert Half app!
Financial Analyst Are you ready to take your career in finance to the next level? Our company is seeking a motivated and analytical Financial Analyst to join our team on an ongoing basis. This position offers exposure to a broad range of financial activities and the chance to make a direct impact on our business performance. Key Responsibilities: Analyze financial data and prepare reports to support management decision-making Develop budgeting, forecasting, and financial modeling for business units or projects Review historical and projected financial performance Track key performance indicators (KPIs) and variances, providing actionable insights Partner with cross-functional teams to support strategic initiatives Support month-end and year-end closing processes Why Join Us? Work with a collaborative and results-driven finance team Ongoing opportunity with room for detail oriented development and growth Exposure to complex business challenges in a supportive environment Ready to accelerate your finance career? Apply today online or through our Robert Half app!