Account Manager II, Business Management
Century City
Sunday, 24 May 2026
Serve as a secondary point of contact for assigned clients, ensuring timely communication and follow-through. Manage weekly and monthly accounting cycles across multiple entities, ensuring deadlines and deliverables are met. Review transactional coding work prepared by staff (including offshore team members) for accuracy and completeness, as well as monthly reconciliations. Ensure bills are entered, processed, and paid on time; follow up on outstanding invoices and discrepancies Oversee bank reconciliations, investigate and clear discrepancies, and ensure proper resolution. Review and generate cash flow reports and monitor account balances. Process deposits and oversee cash activity across client accounts. Correspond with vendors to confirm wiring instructions in compliance with banking rules and internal controls; update contact information and reconcile payment discrepancies. Provide increasing ownership of client work by identifying issues, thinking critically, and escalating when needed. Participate in internal meetings. Requirements Bachelor’s degree in Accounting, Finance, or related field, OR equivalent experience required. Minimum 2 years of accounting experience. Experience performing and reviewing accounting work, with increasing responsibility over deliverables. Experience supporting high-volume, multi-entity environments. Hands-on experience with Agil. Link and/or Quick. Books Online. Ability to manage multiple entities, deadlines, and deliverables in a fast-paced environment and work independently with strong time management. Experience with cash flow, month-end close, and reconciliations. Strong attention to detail with critical thinking and problem-solving skills. Comfortable overseeing an offshore support person. High level of confidentiality required. Preferred Qualifications Experience supporting multiple clients in a business management or outsourced accounting environment. Prior experience working with high-net-worth clients or complex financial structures. Bookkeeper-style foundation with progression toward ownership and review responsibilities"Armanino"