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US jobs › Georgia › Accounting Manager

Manager · Large regional

Accounting Manager

GHJ · Duluth, Georgia · Hybrid

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Goes straight to the employer's own hiring page. We never sit in between.

PayNot posted
LevelManager · Accounting
Work modeHybrid
CPA exam supportNot mentioned
CPA licenseEligible or in progress
Experience5 years+
PostedSep 11, 2026
Found by usSep 30, 2026
Last checkedOct 10, 2026

Quick look

Lead and review accounting, month end close, and financial reporting for a portfolio of real estate assets.

A few years in, CPA in progress

Worth knowing: Experience in commercial or residential real estate preferred

From the posting

GHJ Search and Staffing serves as the recruitment division of GHJ, a prominent national accounting and advisory firm. Our team provides qualified Accounting and Finance professionals on a temporary and permanent basis across a broad range of industries. GHJ’s relationship with our Global Advisory and Accounting Network provides the resources needed to better understand client’s needs, attract a higher caliber of candidates and assess candidate potential. We’re partnering with a well-established real estate investment and property management organization to identify an Accounting Manager who enjoys leading people, improving processes, and building a collaborative team environment. This is an excellent opportunity for someone who leads with integrity, communicates effectively, and takes ownership while helping develop a high-performing accounting team. Key Responsibilities Leadership & Team Management Supervise, coach, train, and develop a team of accountants and accounting support professionals. Assist with workload planning, staffing, hiring, and onboarding of new team members. Foster a collaborative, accountable, and service-oriented culture. Monitor team performance and ensure critical accounting deadlines are met. Accounting Oversight Review monthly financial statements and supporting schedules for a portfolio of real estate assets. Review general ledger activity, bank reconciliations, cash management, and balance sheet reconciliations for accuracy and completeness. Oversee cash distributions, funding requests, and other treasury-related activities. Ensure timely processing of critical payments, including vendor invoices, debt service, taxes, and other significant obligations. Review management fee calculations and intercompany or inter-property transactions. Serve as an escalation point for accounting questions and client or operational requests. Month-End & Financial Reporting Oversee the month-end close process for assigned portfolios. Ensure financial reporting is accurate, complete, and delivered on schedule. Partner with operations and leadership to resolve accounting issues and improve reporting processes. Annual Responsibilities Coordinate year-end reporting requirements, including tax reporting and audit support. Assist with annual budgeting and forecasting activities.

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