Accounting Manager

GrowTech Industries, LLCBuffalo, NY
Onsite

About The Position

GTI Fabrication is a leader in industrial modular fabrication, serving the energy, defense, and heavy industrial markets. With facilities in New York and Arizona, GTI designs and builds mission-critical modular systems — including data centers, energy storage units, and containerized power systems. As we continue to grow, we are expanding our Finance & Accounting team to support daily operations, accurate financial reporting, and data-driven decision-making across all divisions. Position Overview The Accounting Associate will play a key role in maintaining accurate financial records and supporting day-to-day accounting operations. This position is responsible for daily transaction recording, cash reconciliation, general ledger maintenance, and monthly close activities. The ideal candidate is detail-oriented, organized, and able to manage multiple priorities in a fast-paced manufacturing environment. This is a hands-on role that requires accuracy, confidentiality, and strong communication skills across departments.

Requirements

  • Associate’s or Bachelor’s degree in Accounting, Finance, or related field.
  • 2+ years of accounting experience, preferably in a manufacturing or project-based environment.
  • Working knowledge of GAAP and standard accounting principles.
  • Proficiency with accounting software (NetSuite, QuickBooks, or similar ERP system preferred).
  • Strong Excel skills (VLOOKUP, pivot tables, reconciliations).
  • Exceptional attention to detail, accuracy, and organization.
  • Ability to handle confidential information with professionalism and discretion.
  • Strong communication skills and collaborative work style.

Nice To Haves

  • Experience with job-costing or project accounting.
  • Exposure to multi-entity or multi-state accounting environments.
  • Familiarity with manufacturing inventory or cost accounting concepts.
  • Interest in learning and growing into a senior accounting or financial analyst role.

Responsibilities

  • Record and post daily financial transactions, including journal entries, vendor invoices, cash receipts, and expense reports.
  • Perform daily cash reconciliations across multiple bank accounts; investigate and resolve discrepancies promptly.
  • Support the monthly financial close process by preparing account reconciliations, accruals, and journal entries.
  • Maintain and organize financial records, ensuring data integrity and audit readiness.
  • Assist with accounts payable and accounts receivable processing as needed.
  • Collaborate with operations and purchasing to ensure proper coding and timing of expenses.
  • Prepare and maintain supporting schedules for balance sheet and income statement accounts.
  • Assist in generating monthly and quarterly financial reports for management review.
  • Support external auditors and tax preparers by providing requested documentation.
  • Participate in process improvement initiatives to streamline accounting operations and strengthen internal controls.
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