Innovative organization is reimagining how operational support is delivered in a traditionally brick-and-mortar industry. Combining a tech-enabled platform with a national footprint, the company offers remote management and virtual solutions for properties across multiple states. Since launching in the last several years, it has grown significantly and now manages dozens of properties and supports well over 100 locations nationwide.
Core Responsibilities
Corporate Accounting
Own the monthly close process for the corporate entity (journal entries, reconciliations, reporting)
Maintain GL accuracy and drive process improvements
Oversee invoicing to internal and external partners
Ensure compliance across tax jurisdictions and licenses
Cash & Treasury
Partner with operational teams to reconcile daily cash flows
Investigate and resolve variances between systems and accounts
Manage deposits and transactions in the ERP system
Compliance & Controls
Strengthen internal controls and ensure financial accuracy
Stay current with industry trends and changing regulatory requirements
Identify opportunities for automation and scalability
Cross-functional Collaboration
Collaborate with departments to enforce financial discipline
Assist with strategic projects and reporting initiatives
Qualifications:
5-7 years of accounting experience, preferably in a multi-entity or growth-stage environment
Bachelor's in Accounting, Finance, or related field
Strong ERP experience (NetSuite or similar highly preferred)
Advanced Excel and analytical skills
Independent, adaptable, and motivated to drive change
Experience in high-growth or PE-backed organizations
Comfortable building processes from the ground up
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