Position Overview
Description We are looking for an accomplished Accounting Manager to oversee cash and treasury operations in Houston, Texas while guiding a high-performing team in a hybrid work environment. This position plays a central role in maintaining accurate cash activity, supporting financial close activities, and strengthening day-to-day operational controls. The ideal candidate brings strong leadership experience, a solid background in reconciliations and general ledger activity, and a commitment to improving processes that support continued business growth.
Responsibilities:
β’ Direct daily treasury and cash-related functions, including deposit oversight, banking activity review, and timely resolution of account discrepancies
β’ Supervise, coach, and develop a team of 8 to 10 employees responsible for cash processing and partner clinic deposit support
β’ Coordinate month-end close tasks by reviewing reconciliations, preparing journal entry support, and ensuring accurate finan...