Account Manager

MCS RESI LLC•Worthington, OH
•Onsite

About The Position

Perform the month end closing process and prepares financial analyses of operations, including interim and final financial statements with supporting schedules, for the guidance of management. This position is responsible for adherence to GAAP accounting and maintaining a strong internal control environment.

Requirements

  • Excellent organization and prioritization skills to manage time and meet deadlines.
  • Strong decision making and problem solving skills.
  • Self-starter with a high sense of urgency and desire to see results.
  • Proactive thinker with strong attention to detail and accuracy.
  • Excellent communication skills with demonstrated ability to influence all levels of the business using written, verbal and presentation competencies.
  • Proficient to advanced PC Skills including (but not limited to) MS Word, MS Excel, email, internet and accounting software packages.
  • Ability to work independently and maintain the highest level of professionalism.
  • Team player and exceptional customer service skills.
  • Bachelor degree in Accounting or equivalent work experience in a similar environment
  • CPA Required
  • Five (5) years relevant general accounting and payroll experience

Nice To Haves

  • Working knowledge and experience with Business Central and Ramp preferred

Responsibilities

  • Perform the monthly closing process including journal entry preparation and approval for the business unit.
  • Ensures all accounting is handled in accordance with Generally Accepted Accounting Principles (GAAP).
  • Monitor and analyze accounting data and produce financial reports and statements.
  • Prepare or approve reconciliations for all balance sheet accounts, and variance analysis.
  • Generate the monthly financial statements and other financial reports for the month-end financial package.
  • Ensure timely and accurate financial reporting for the business unit.
  • Responsible for payroll analysis and accounting of the business unit
  • Maintain Fixed Asset records and ensure transactions and related depreciation are recorded accurately and timely.
  • Ensure that established accounting policies and procedures are adhered to and participate in the revision or development of policies.
  • Generate daily cash and other periodic management reports.
  • Reconcile all bank accounts monthly and investigate and resolve any reconciling items.
  • Prepare necessary analyses and assist in the coordination of the year-end audit.
  • Assist in the year-end audit and other Finance activities/projects including process improvement initiatives.
  • Ad hoc requests.
  • Improve systems and procedures and initiate corrective actions.
  • Other duties as assigned.
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