Accounting Manager Travel + Leisure Co.Accounting ManagerOrlando, Florida2-3 years manager/supervisory experience directly reviewing staff’s journal entries/balance sheet reconciliations, coaching staff, reviewing goal setting and delivering formal evaluations and routine feedback. The Manager will prepare financial statements, analysis and ad hoc reporting, support the Financial, Planning & Analysis team in the budgeting and forecasting processes, and support and provide financial reporting to management.
Vice President, Fund Accounting Manager The Bank of New York Mellon CorpVice President, Fund 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. 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 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.
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.
NewAccounting Manager WonderWorksAccounting ManagerOrlando, FLFull timeOur Accounting Managers are a vital part of our financial operations, ensuring WONDERful experiences for our guests by working behind the scenes to meticulously track revenue and expenses, audit invoices, and balance accounts! Reconcile all subsidiary ledgers to general ledger ensuing accurate control of sales reports posted to the general ledger balanced daily and monthly.
Accounting Manager New SeasonAccounting ManagerMaitland, FLEssential Functions: Manage and analyze all aspects of healthcare revenue accounting, specifically monitoring, calculating, and reporting on gross revenue versus contractual discounts, denials, and bad debt reserves. Actively participate in the month-end closing by compiling and analyzing financial information in order to prepare financial statements and supporting schedules.
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.
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, Real Estate Funds The Bank of New York Mellon CorpAccounting Manager, Real Estate FundsLake Mary, FL$68,000–$150,000 / yearEvery day, our teams harness cutting-edge AI and breakthrough technologies to collaborate with clients, driving transformative solutions that redefine industries and uplift communities worldwide. This position is at-will and the Company reserves the right to modify base salary (as well as any other discretionary payment or compensation) at any time, including for reasons related to individual performance, change in geographic location, Company or individual department/team performance, and market factors.
Vice President, Fund/Client Accounting Manager The Bank of New York Mellon CorpVice 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. We're seeking a future team member for the role of Vice President, Fund/Client Accounting Manager to join our Accounting Services team.
Cannabis Outsourced Accounting Manager WithumCannabis Outsourced Accounting ManagerOrlando, FL$125,000–$145,000 / yearJob Description: Withum's Outsourced Accounting Systems and Services (OASyS) team is seeking an Outsourced Accounting Manager to join our growing team in any US office location. The Outsourced Accounting Manager will oversee and work together with staff and senior team members to service clients specifically in the cannabis industry.
NewAccounting Manager Davidson Hospitality GroupAccounting ManagerLake Buena Vista, FloridaAssists in directing the preparation of the annual budget and subsequent forecasts, updates and maintains the data processing equipment and systems, and supervises financial statement preparation and account reconciliation. Manage human resources functions including recruiting, selection, orientation, training, performance reviews, pay and recognition programs to maintain a skilled and motivated workforce.
Accounting Manager Travel + Leisure CoAccounting ManagerOrlando, FL2-3 years manager/supervisory experience directly reviewing staff's journal entries/balance sheet reconciliations, coaching staff, reviewing goal setting and delivering formal evaluations and routine feedback. The Manager will prepare financial statements, analysis and ad hoc reporting, support the Financial, Planning & Analysis team in the budgeting and forecasting processes, and support and provide financial reporting to management.
Senior Vice President, Fund/Client Accounting Manager The Bank of New York Mellon CorpSenior Vice President, Fund/Client 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. 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 Envision Staffing SolutionsAccounting ManagerKissimmee, FLReporting to the Director of Accounting, this individual will lead the month-end close process, deliver accurate financial reporting and analysis to executive leadership, and maintain a strong internal control environment. Our client is seeking an experienced Accounting Manager to oversee the accounting operations for a high-volume entertainment and hospitality venue.
DISTRICT ACCOUNTING MANAGER - ALTAMONTE SPRINGS, FL Compass Group North AmericaDISTRICT ACCOUNTING MANAGER - ALTAMONTE SPRINGS, FLAltamonte Springs, FL$65,000–$70,000 / yearFull-time and part-time positions offer the following benefits to associates: Retirement Plan, Associate Shopping Program, Health and Wellness Programs, Discount Marketplace, Identity Theft Protection, Pet Insurance, Voluntary Benefits, including Critical Illness Insurance, Accident Insurance, Hospital Indemnity Insurance, Legal Services, and Choice Auto and Home Program. Job Summary: Key Responsibilities: Handle the day-to-day HR issues including but not limited to managing payroll and benefit administration, training, FMLA/Workers Comp issues, and regulatory compliance staffing.
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.
["Manager, Property Accounting","Manager, Property Accounting"] SeaWorld Parks & Entertainment["Manager, Property Accounting","Manager, Property Accounting"]OrlandoThe position's primary functions include ensuring the accuracy and completeness of the Company's day-to-day fixed asset activity accounting records and their conformity with US GAAP and SOX guidance; providing information to preparers for federal and state tax returns and property filings; generating quarterly tax provision support; and reporting associated with 10Q/K filings. The Property Accounting Manager (Onsite, Orlando, FL) is responsible for overseeing the fixed asset accounting staff and functions across SEA, working closely with the Company's corporate and park teams at all levels.
["Manager of HOA Accounting","Manager of HOA Accounting"] Holiday Inn["Manager of HOA Accounting","Manager of HOA Accounting"]OrlandoLead and develop a high-performing Accounting team of up to four professionals, providing direction, accountability, and coaching while ensuring excellence across all accounting activities under GAAP, including month-end close, financial statement review, variance analysis, reconciliation and journal entry reviews, and timely, accurate financial reporting to internal leadership and external stakeholders. In addition to overseeing month-end close and comprehensive reporting, this role provides insight and support related to budgets and forecasts prepared by FP&A, supports organizational strategy, and ensures fulfillment of required reporting to external stakeholders.
Manager, Property Accounting United Parks & Resorts IncManager, Property AccountingOrlando, FLThe position's primary functions include ensuring the accuracy and completeness of the Company's day-to-day fixed asset activity accounting records and their conformity with US GAAP and SOX guidance; providing information to preparers for federal and state tax returns and property filings; generating quarterly tax provision support; and reporting associated with 10Q/K filings. The Property Accounting Manager (Onsite, Orlando, FL) is responsible for overseeing the fixed asset accounting staff and functions across SEA, working closely with the Company's corporate and park teams at all levels.