We are seeking an experienced accounting professional to oversee financial operations for our Tampa and Dallas facilities. Based in Tampa, this role is responsible for maintaining accurate financial records, driving reporting, and managing daily accounting workflows. You will provide local guidance to teammates supporting Payroll, AP, and AR, while collaborating closely with cross-functional and corporate teams in a fast-paced environment.
Key Responsibilities
- Financial Accuracy: Ensure timely delivery of precise financial statements and P&L reports.
- Cash Flow & Forecasting: Monitor cash flow, provide accurate projections, and analyze financial trends to predict future revenues, costs, and margins.
- Operational Oversight: Coordinate revenue recognition, manage general ledger entries, and ensure timely AR collections and AP disbursements.
- Strategic Analysis: Provide in-depth financial analysis and actionable insights to all levels of management.
- Execute day-to-day bookkeeping, account reconciliations, and financial reporting.
- Support and guide local accounting teammates across AP, AR, payroll, and cash workflows.
- Partner with customers and suppliers to manage payment requirements.
- Coordinate tax-related activities with subject matter experts and facilitate audits.
- Education & Experience: Bachelor’s degree in Accounting with a minimum of 5 years of progressive accounting experience.
- Core Expertise: strong background in reconciliations, P&L reporting, payroll, AP/AR, and cash flow management. Revenue recognition experience is a plus.
- Technical Skills: Proficiency in accounting systems and advanced Microsoft Excel required; ERP experience is preferred.
- Soft Skills: Exceptional analytical, organizational, and communication skills. High attention to detail with the ability to manage multiple priorities and meet strict deadlines.
salary: $90,000 - $115,000 per year
shift: First
work hours: 8 AM - 4 PM
education: Bachelors
Responsibilities
• Ensure accuracy and timeliness of financial statements, including Profit & Loss (P&L) reports
• Closely monitor cash flow and provide management with accurate projections
• Provide in-depth analysis of financial information to all levels of management
• Analyze financial trends to predict future revenues, costs, margins and profits
• Coordinate and oversee revenue recognition processes and related general ledger entries
• Ensure timely Accounts Receivable collections and Accounts Payable disbursements
Skills
Qualifications
Randstad is a world leader in matching great people with great companies. Our experienced agents will listen carefully to your employment needs and then work diligently to match your skills and qualifications to the right job and company. Whether you're looking for temporary, temporary-to-permanent or permanent opportunities, no one works harder for you than Randstad.
Equal Opportunity Employer: Race, Color, Religion, Sex, Sexual Orientation, Gender Identity, National Origin, Age, Genetic Information, Disability, Protected Veteran Status, or any other legally protected group status.
At Randstad, we welcome people of all abilities and want to ensure that our hiring and interview process meets the needs of all applicants. If you require a reasonable accommodation to make your application or interview experience a great one, please contact HRsupport@randstadusa.com.
Pay offered to a successful candidate will be based on several factors including the candidate's education, work experience, work location, specific job duties, certifications, etc. In addition, Randstad offers a comprehensive benefits package, including: medical, prescription, dental, vision, AD&D, and life insurance offerings, short-term disability, and a 401K plan (all benefits are based on eligibility).
This posting is open for thirty (30) days.