Regional Facility Accountant - Sports Facilities Management

The Sports Facilities CompaniesClearwater, FL
Onsite

About The Position

Sports Facilities Management, LLC (SFM) is a Sports Facilities Companies (SFC) company. SFC is the nation's leading resource for managing and developing sports, recreation, wellness, and events facilities. We provide a highly collaborative and supportive culture that raises our team members to new levels of career growth. Together, we will carve a path in a hyper-growing industry where you will enjoy the journey and learn from the industry's best while having some fun. SFC has been awarded national recognition as a Top Workplace year over year and is considered a workplace of choice. Our mission-focused company is highly entrepreneurial, team-oriented with a culture centered on collaboration, accountability, excellence, and service. We are growing rapidly and looking for high performers at every level to grow with us.

Requirements

  • Associate degree in accounting
  • Minimum of 2 years of accounting experience
  • Proficient in Microsoft Office and QuickBooks and/or Microsoft Dynamics accounting systems
  • Well organized and able manage multiple projects on a routine basis
  • Comfortable in a dynamic and fast paced environment

Responsibilities

  • Track month end closing for all managed facilities
  • Oversee that all bank accounts and merchant accounts are reconciled monthly through Month End Checklist verification process and the financial workbook
  • Perform financial analysis and investigate variances on financial statements
  • Ad hoc financial reporting for analysis
  • Preparation financial statements in compliance with US GAAP, presentation reports, and dashboards for review and distribution to management and clients
  • Monthly bookkeeping procedures such as bank and credit card reconciliations
  • Enter daily transactions into the accounting system from point of sale platforms
  • Monitor and record all facility deposits to ensure all funds are accounted for in a timely manner
  • Ensure vendor invoices are approved, entered, and paid in a timely manner; take advantage of discounts where appropriate and maximize cash flow by not paying vendors too early
  • Ensure customer invoices are drafted, entered, and delivered in a timely manner; monitor and manage collection efforts to maximize cash flow
  • Monitor bank balances to anticipate cash needs to satisfy current liability outflows such as vendor payments and payroll funding
  • Maintain General Ledger including journal entries & adjustments
  • Assess compliance with financial regulations and controls by executing review/audit program steps; testing general ledger, account balances, balance sheets, income statements, and related financial statements; examining and analyzing records, reports, operating practices, and documentation
  • Compile weekly and monthly financial reporting for the facility General Manager
  • Assist General Manager with budget preparation
  • Comply with federal, state, and local legal requirements such as sales tax filings and advising management on needed actions
  • Complete any other special projects and daily assignments as directed by management
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