Accounting Manager - Columbia

Turner Padget Graham and Laney P.A.Columbia, SC
Onsite

About The Position

Turner, Padget, Graham and Laney, P.A. is seeking a highly motivated Accounting Manager for their Columbia, SC office. This role is responsible for maintaining the General Ledger, reconciling monthly bank statements, and creating and analyzing financial reporting, while observing the confidentiality of client and firm matters. The firm emphasizes its people as its greatest asset and offers an environment that balances work, family, and community involvement, with excellent benefits, competitive salaries, cutting-edge technology, and a pleasant workplace.

Requirements

  • Bachelor's degree in Accounting or a related field.
  • 3-5 years' experience in a finance or accounting position, preferably in a law firm or professional services environment.
  • Knowledge of accounting and finance principles, including Generally Accepted Accounting Principles.
  • Ability to analyze financial data and prepare financial reports, statements and projections.
  • Maintains professional growth and development through seminars, workshops, and professional affiliations.
  • Flexible with the ability to independently organize and prioritize numerous tasks and projects and complete them under time constraints.
  • Excellent attention to detail.
  • Effective oral and written communication skills.
  • Excellent computer skills, including Microsoft Office Suite and accounting / financial systems.
  • Ability to maintain a high level of confidentiality of all firm and client matters.
  • Projects high levels of professionalism within the firm.

Responsibilities

  • Makes all Journal entries in General Ledger.
  • Overseas all monthly bank statements, including operating and trust accounts.
  • Reports trust account balances to appropriate responsible attorney.
  • Performs basic reporting functions including monthly production reports and financial statements.
  • Responsible for creating and analyzing monthly financial reporting and procedures.
  • Works in conjunction with the Chief Operating Officer in creating and implementing internal controls with cash and payables for all Accounting functions.
  • Assists CEO and COO with other financial management and analysis as required.
  • Research and process refunds as needed.
  • Works with billing department on client intake and to ensure client guideline compliance.
  • Performs additional duties and responsibilities as needed.

Benefits

  • Excellent benefits start the first of the month following your first day of work
  • competitive salaries
  • cutting edge technology
  • a most pleasant workplace
  • comprehensive and competitive salary
  • tools they need to be a successful part of our team
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