Senior Staff Accountant- 27631

iMPact Business Group

Grand Rapids (MI)

On-site

USD 80,000 - 90,000

Full time

39 hours ago
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Job summary

iMPact Business Group in Grand Rapids, MI is seeking a Senior Staff Accountant / Accounting Manager to support accounting and cash management across a multi-state, multi-entity organization.

This hands-on role emphasizes cash flow forecasting, monthly close, reconciliations, and financial reporting, working closely with leadership and operations to optimize liquidity and accuracy.

Qualifications

  • Bachelor’s degree in Accounting is required.
  • 3–5+ years of accounting experience.
  • Experience with cash flow forecasting and cash management.
  • Experience with general ledger, reconciliations, month-end close, and financial reporting.
  • Experience in multi-entity, multi-location, or multi-state organization.
  • Ability to work independently and manage multiple deadlines.

Responsibilities

  • Manage and analyze cash flow across multiple entities and locations.
  • Prepare cash flow forecasts and monitor ongoing liquidity needs.
  • Support accounting activities across a multi-state and multi-entity organization.
  • Prepare account reconciliations and support the month-end close process.
  • Manage intercompany accounting activity and cash transfers.
  • Support general ledger accounting and financial reporting.
  • Assist with planning and coordination of major payments and cash requirements.
  • Partner with leadership and operations on cash management and accounting needs.

Skills

Cash flow forecasting
Cash management
General ledger accounting
Month-end close
Reconciliations
Financial reporting
Cross-entity accounting
Multi-location experience

Education

Bachelor's degree in Accounting

Job description

Grand Rapids, MI | 100% On-Site

$80K–$90K

Our client is seeking an experienced Senior Staff Accountant / Accounting Manager to support accounting and cash management across a growing multi-state, multi-entity organization.

This is a hands-on accounting role with a strong emphasis on cash flow forecasting, cash management, month-end accounting, reconciliations, and financial reporting. The ideal candidate has experience managing financial activity across multiple entities or locations and is comfortable working closely with leadership and operations.

Key Focus

Cash Flow Forecasting | Cash Management | Multi-Entity Accounting | Month-End Close | General Ledger | Reconciliations | Financial Reporting

What You’ll Do
  • Manage and analyze cash flow across multiple entities and locations
  • Prepare cash flow forecasts and monitor ongoing liquidity needs
  • Support accounting activities across a multi-state and multi-entity organization
  • Prepare account reconciliations and support the month-end close process
  • Manage intercompany accounting activity and cash transfers
  • Support general ledger accounting and financial reporting
  • Assist with planning and coordination of major payments and cash requirements
  • Partner with leadership and operations on cash management and accounting needs
What We’re Looking For
  • Bachelor’s degree in Accounting required
  • 3–5+ years of accounting experience
  • Strong experience with cash flow forecasting and cash management
  • Experience with general ledger accounting, reconciliations, month-end close, and financial reporting
  • Experience working within a multi-entity, multi-location, or multi-state organization
  • Ability to work independently, prioritize responsibilities, and manage multiple deadlines

This opportunity could be a strong fit for a Senior Staff Accountant ready to take on additional responsibility or a hands-on Accounting Manager looking for a broad accounting and cash management role.

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