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SF
Staff Financial Group
Accounting Manager
Career Insights for Accounting Manager
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Scorecard
Based on Alabama data
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What they do
An Accounting Manager manages the accounting department of a company or organization. Directs the accounting staff that prepare financial statements and business activity and forecasting reports and tax filings. Monitors accounting data. Implements and manages accounting policies and procedures. Advises management with regard to finance decisions.
$144,949 / year median in Alabama
-11% projected decline
Job Description
Search Accounting Manager Employer Staff Financial Group Location Pell City, Alabama, United States Salary
USD 90,000.00
per year Posted 10 Sep 2026 Closes 10 Oct 2026 Reference 139983611835524 View more categories View fewer categories Job role Accountant Sector Accounting- Public practice Experience level Manager Apply (This will open in a new window from which you will be automatically redirected to an external site after 5 seconds) Save job Click to add the job to your shortlist You need to sign in or create an account to save a job.
ESSENTIAL DUTIES
Build systems that are efficient and effective in capturing and reporting economic activity, performing repetitive tasks, and/or providing services to other departments or entities. Establish financial policies, procedures, controls, and reporting systems. Act as administrator for accounting software programs including Microsoft Dynamics Great Plains. Effectively build and manage a high-quality accounting team.JOB DUTIES
Manage accounting team and all accounting/finance functions. Manage team to prepare financial and operating reports within agreed timelines. Recruit, mentor, and train accounting team; use foresight and ability to delegate responsibilities appropriately. Safeguard company assets by establishing, monitoring, and enforcing internal controls. Develop variance reports and advocate for change to improve financial and business operations. Ensure tax compliance for filing and reporting purposes. Allocate accounting and administrative tasks in a balanced and efficient manner. Establish cash position daily and provide appropriate forecasts to President as needed. Quickly articulate any perceived issues with future cash flow. Work with banks to establish appropriate and cost-effective cash management system. Responsible for monthly and quarterly compliance and borrowing base reports for bank. Arrange for onboarding of new employees in companies' systems (payroll, etc.); handle termination procedures. Work as a financial analyst from time-to-time. Can look at a business situation and work with team members to propose solutions that advance the business. Work with outside audits as necessary- outside CPA, etc.
- Assurance
- National
- ASU•FAAS•Financial&AccountingAdv•Hyderabad India Manager/Senior Manager•Mergers & Acquisitions (M&A)•HCMC Office Ho Chi Minh City, VN Manager, Tax St.
Benefits
- Health Insurance
- Dental Insurance