Accounting Manager I Addition Financial CareersAccounting Manager ILake Mary, FloridaThis role supervises a team of accounting specialists, analysts and financial professionals, ensuring accurate and timely recording, reconciliation of accounts, and preparation of financial statements and in-depth financial analysis. Additionally, this role will often liaise with external Federal and state examiners, auditors, tax authorities, and regulatory agencies to ensure compliance and address any financial issues.
NewAccounting Manager Real CapitalAccounting ManagerWinter Garden, FloridaWellness & Lifestyle Perks – employer-funded Lifestyle Spending Account, Employee Assistance Program, and access to voluntary benefits such as pet insurance, accident, and critical illness coverage. As part of the Accounting Manager role, this position will be directly accountable for executing and reviewing critical month-end close activities to ensure accuracy, timeliness, and compliance.
Vice President, Fund/Client Accounting Manager The Bank of New York MellonVice President, Fund/Client Accounting ManagerLake Mary, FLIn this role, you'll make an impact in the following ways: Lead and manage a team of accounting professionals by demonstrating expertise in fund and client accounting, ensuring high-quality service delivery. We're seeking a future team member for the role of Vice President, Fund/Client Accounting Manager to join our Accounting Services team.
Vice President, ETF Accounting Manager The Bank of New York MellonVice President, ETF Accounting ManagerLake Mary, FLWe're seeking a future team member for the role of Vice President, Fund/Client Accounting Manager to join our Accounting Services team. Collaborate with internal and external stakeholders to address accounting issues and develop robust solutions that align with BNY's strategic goals.
Director, Fund/Client Accounting Manager The Bank of New York Mellon CorpDirector, Fund/Client Accounting ManagerLake Mary, FLIn this role, youll make an impact in the following ways: Direct a Fund Accounting area consisting of multiple teams responsible for accounting services including determining net asset values, calculating fund performance, allocating expenses, and preparing reports. Every day, our teams harness cutting-edge AI and breakthrough technologies to collaborate with clients, driving transformative solutions that redefine industries and uplift communities worldwide.
Accounting Manager Brown & Brown, INC.Accounting ManagerLake Mary, FLPrepare or review monthly internal financial statements; Prepare or review quarterly financial statements for pool governance boards and management; Prepare or review annual financial statements for pool governance boards and management; Oversee general ledger account maintenance and supporting work papers for pool programs; Post or approve excess insurance expense recognition journal entries and supporting documents; Post or approve claims related journal entries and supporting documents; Post or approve accruals for premiums and fees; Review bank statements, investments statements and related reconciliations associated with insurance pool financial assets; Prepares annual reporting requirements for applicable state regulatory bodies, National Council on Compensation Insurance (NCCI), and Insurance Services Office (ISO); Prepare or coordinate preparation of premium, state income or federal income tax filings. Recruiting Vendors must have a valid written agreement and received prior written authorization from an authorized Brown & Brown representative before submitting candidates for any publicly posted role.
Senior Vice President, Fund/Client Accounting Manager The Bank of New York MellonSenior Vice President, Fund/Client Accounting ManagerLake Mary, FLEvery day, our teams harness cutting-edge AI and breakthrough technologies to collaborate with clients, driving transformative solutions that redefine industries and uplift communities worldwide. Act as the primary point of contact with Client for discussions on KPI's, new product launches, regulatory changes, escalations and overall governance of service delivery.
Accounting Manager Arrowhead ProgramsAccounting ManagerLake Mary, FloridaPrepare or review monthly internal financial statements; Prepare or review quarterly financial statements for pool governance boards and management; Prepare or review annual financial statements for pool governance boards and management; Oversee general ledger account maintenance and supporting work papers for pool programs; Post or approve excess insurance expense recognition journal entries and supporting documents; Post or approve claims related journal entries and supporting documents; Post or approve accruals for premiums and fees; Review bank statements, investments statements and related reconciliations associated with insurance pool financial assets; Prepares annual reporting requirements for applicable state regulatory bodies, National Council on Compensation Insurance (NCCI), and Insurance Services Office (ISO); Prepare or coordinate preparation of premium, state income or federal income tax filings. Recruiting Vendors must have a valid written agreement and received prior written authorization from an authorized Brown & Brown representative before submitting candidates for any publicly posted role.
Accounting Manager L. Rose RecruitingAccounting ManagerWinter Park, FLFull timeIts team works alongside clients’ frontline staff, providing hands-on coaching and programs that turn everyday customer interactions into measurable results. You are an analytical, responsive leader who develops staff, takes ownership, manages competing priorities, and follows through under tight deadlines.
Financial Management Mgr / Accounting Manager - Lvl 5- FL or TX Lockheed Martin CorpFinancial Management Mgr / Accounting Manager - Lvl 5- FL or TXOrlando, FL$109,700–$203,700 / yearLockheed Martin considers factors such as (but not limited to) scope and responsibilities of the position, candidate''s work experience, education/ training, key skills as well as market(work location) and business considerations when extending an offer. The team is responsible for accounting functions including compilation of financial information, journal entry processing and approval, reconciliations, revenue recognition determinations for contracts, and audit support.
Senior Vice President, ETF Accounting Manager The Bank of New York MellonSenior Vice President, ETF Accounting ManagerLake Mary, FLIn this role, you'll make an impact in the following ways: Direct multiple Fund Accounting teams responsible for conducting accounting services on behalf of a broad array of assigned clients, including determining net asset values, calculating fund performance, allocating expenses, and preparing reports. Direct and set priorities for processes that check for the completeness and accuracy of disclosure in financial statements and provide guidance to teams to ensure accounting records are maintained in accordance with departmental policies and procedures.
Finance & Accounting Outsourcing, Accounting Manager (Not-for Profit) Cherry Bekaert LLPFinance & Accounting Outsourcing, Accounting Manager (Not-for Profit)Orlando, FLIn addition, we offer a comprehensive, high-quality benefits program which includes annual bonus, medical, dental, and vision care; disability and life insurance; generous Paid Time Off; retirement plans; Paid Care Leave; and other programs that are dedicated to enhancing your personal and work life and providing you and your family with a measure of financial protection. The successful candidate will partner with FAO leadership and mission-driven organizations to deliver accounting, financial reporting, and advisory solutions that help clients operate efficiently, maintain compliance, and advance their organizational goals.
Accounting Manager Gator's DocksideAccounting ManagerOrlando, FL$75,000–$100,000 / yearComplies with federal, state, and local financial legal requirements by studying existing and new legislation, enforcing adherence to requirements, and advising management on needed actions. Summarizes current financial status by collecting information; preparing balance sheet, profit and loss statement, and other reports.
Finance & Accounting Outsourcing, Accounting Manager (Not-For Profit) Cherry, Bekaert & Holland, L.L.P.Finance & Accounting Outsourcing, Accounting Manager (Not-For Profit)Orlando, FLIn addition, we offer a comprehensive, high-quality benefits program which includes annual bonus, medical, dental, and vision care; disability and life insurance; generous Paid Time Off; retirement plans; Paid Care Leave; and other programs that are dedicated to enhancing your personal and work life and providing you and your family with a measure of financial protection. The successful candidate will partner with FAO leadership and mission-driven organizations to deliver accounting, financial reporting, and advisory solutions that help clients operate efficiently, maintain compliance, and advance their organizational goals.
Vice President, Real Estate Fund/Client Accounting Manager The Bank of New York Mellon CorpVice President, Real Estate Fund/Client Accounting ManagerLake Mary, FLIn this role, youll make an impact in the following ways: Conduct accounting services on behalf of assigned clients and moderately complex funds including determining net asset values, calculating fund performance, allocating expenses and preparing reports. Every day, our teams harness cutting-edge AI and breakthrough technologies to collaborate with clients, driving transformative solutions that redefine industries and uplift communities worldwide.
Vice President, Fund Manager - Private Equity StratAcuity Staffing Partners IncVice President, Fund Manager - Private EquityLake Mary, FL$120,000–$140,000 / yearIn terms of professional development, Everforth Apex hosts an on-demand training program, provides access to certification prep and a library of technical and leadership courses/books/seminars once you have 6+ months of tenure, and certification discounts and other perks to associations that include CompTIA and IIBA. The Vice President is responsible for overseeing a portfolio of complex private equity and/or credit fund relationships while leading accounting professionals responsible for NAV production, client service, and operational execution.
Manager, Accounting Sysco CorpManager, AccountingFLResponsible for assisting the controller RCFO Region CFO in securing financial operations, managing the accounting department, and working to create a fiscal strategy that aligns with the goals of the Company. With over 71,000 colleagues and a fleet of over 13,000 vehicles, Sysco operates approximately 333 distribution facilities worldwide and serves more than 700,000 customer locations.