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Job Description
Job DescriptionJob DescriptionWe are looking for an accomplished Accounting Manager to oversee cash and treasury operations in Houston, Texas while guiding a high-performing team in a hybrid work environment. This position plays a central role in maintaining accurate cash activity, supporting financial close activities, and strengthening day-to-day operational controls. The ideal candidate brings strong leadership experience, a solid background in reconciliations and general ledger activity, and a commitment to improving processes that support continued business growth.
Responsibilities:
Direct daily treasury and cash-related functions, including deposit oversight, banking activity review, and timely resolution of account discrepancies
Supervise, coach, and develop a team of 8 to 10 employees responsible for cash processing and partner clinic deposit support
Coordinate month-end close tasks by reviewing reconciliations, preparing journal entry support, and ensuring accurate financial reporting
Partner with internal and external auditors by organizing documentation, answering inquiries, and reinforcing compliance with accounting controls
Identify opportunities to streamline workflows, strengthen accuracy, and improve efficiency across cash management and reconciliation activities
Support the onboarding of new clinic partnerships by helping establish operational processes, access setup, deposit workflows, and tracking methods
Oversee cash-related system administration and monitoring, including banking tools and spreadsheet-based reporting used for daily operations
Maintain productive relationships with banking partners and vendors to ensure reliable service and effective issue resolution
Bachelor's degree in Accounting, Finance, or a related field
At least 7 years of experience in accounting, with a strong focus on cash management, and reconciliations
Demonstrated success leading and developing teams in a supervisory or management capacity
Hands-on experience with month-end close, general ledger activity, journal entries, and bank account reconciliation
Strong knowledge of account reconciliation processes, including cash, bank, and payment-related balancing activities
Experience using financial systems such as BlackLine and/or Workday is preferred
Excellent communication, organizational, and multitasking skills with the ability to manage competing priorities