Finance & Accounting Manager

Alliance Risk GroupTown of Colonie, NY

About The Position

We are seeking a hands on, forward-thinking Finance & Accounting Manager to take the lead in evolving and scaling the financial foundation of a company positioned for meaningful growth. This is a high-impact opportunity for someone who wants to build, improve, and scale financial operations alongside leadership as the organization grows. The right candidate will own the details, act as a strategic partner to leadership, and have the chance to expand both their role and career as they help shape the company's next stage. This role is ideal for someone excited by growth, eager to make a visible impact, and motivated to grow with the organization over time.

Requirements

  • Hands on approach
  • Forward-thinking mindset
  • Ability to build, improve, and scale financial operations
  • Strong attention to detail
  • Strategic partnership skills
  • Experience with core accounting operations (AR, AP, corporate card, cash management)
  • Experience with month-end and year-end close processes
  • Experience with monthly reconciliations (bank accounts, credit cards, loans, balance sheet accounts)
  • Ability to deliver timely and reliable financial statements and insights
  • Experience supporting budgeting, forecasting, and financial planning
  • Experience supporting insurance, lease, and financing administration
  • Experience identifying and implementing process improvements/automation
  • Knowledge of financial controls, policies, and GAAP compliance
  • Strong communication and interpersonal skills
  • Ability to explain financial results clearly and flag issues with practical solutions
  • Ability to advise leadership on financial impact of strategic decisions
  • Experience improving reporting, processes, and workflows for financial visibility

Responsibilities

  • Manage/own core accounting operations (AR, AP, corporate card, cash management etc.) with a focus on efficiency and control.
  • Lead month-end and year-end close processes.
  • Own monthly reconciliations for bank accounts, credit cards, loans, and balance sheet accounts.
  • Deliver timely, reliable financial statements and insights to leadership. Support management in budgeting, forecasting, and financial planning.
  • Support insurance, lease, and financing administration and liaise with outside partners.
  • Identify and implement process improvements/automation.
  • Establish and maintain strong financial controls, policies, and compliance with GAAP.
  • Partner with executive management and business unit leaders on financial matters.
  • Communicate financial trends, risks, deadlines, and opportunities proactively.
  • Explain results clearly and flag issues early with practical solutions.
  • Advise leadership in assessing the financial impact of key strategic decisions.
  • Improve reporting, processes, and workflows to ensure accurate and timely financial visibility.
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