The Judge Group · 17 hours ago
Finance Manager (1115474)
The Judge Group is currently seeking a Finance Manager. This role involves managing the month-end close process, preparing financial statements, and ensuring compliance with accounting policies and internal controls.
E-LearningInformation TechnologyProfessional Services
Responsibilities
Drive a 5‑day month‑end close using modern financial reporting tools and processes
Prepare and deliver accurate consolidated and consolidating financial statements with supporting schedules
Prepare and/or review journal entries, accruals, and account reconciliations
Maintain a clean, well‑organized general ledger with strong documentation and audit‑ready support
Ensure appropriate and consistent accounting treatment across periods (expense classification, accruals, capitalization, etc.)
Design and implement internal controls and standard operating procedures (SOPs) across cash receipts, cash disbursements, payroll, and general ledger reporting
Establish monitoring routines to ensure controls operate effectively
Maintain and enforce accounting policies (e.g., revenue recognition, capitalization, expense classification)
Define and uphold approval workflows and segregation of duties appropriate for company size and structure
Own the full revenue cycle from billing through collection and general ledger recording
Ensure invoices are issued accurately, promptly, and with proper documentation
Improve cash collection processes and enhance reporting visibility for leadership
Manage outsourced transactional accounting resources and other vendors supporting accounting and finance operations
Coordinate with external CPA firms on tax filings, year‑end close, and audit activities
Maintain audit‑ready schedules, reconciliations, and documentation
Support compliance obligations including sales tax, payroll compliance, and business licensing
Provide financial analysis to support operational decision‑making, including budgeting, forecasting, and trend analysis
Deliver accurate, timely financial statements and supporting schedules to enable strategic decisions
Proactively identify risks, anomalies, and operational trends surfaced through the close process and internal controls
Serve as the primary point of contact for identifying and resolving accounting and finance issues
Act as a backup for payroll processing, benefits administration, and 401(k) administration
Communicate financial information to internal and external stakeholders with varying levels of financial expertise
Qualification
Required
5–10+ years of progressive accounting experience, including ownership of month‑end close
CPA required
Bachelor's degree from a four‑year accredited institution
Strong GAAP fundamentals and experience building structure in a growing environment
Experience with not‑for‑profit financial reporting and consolidated financial statements with intercompany activity
Experience implementing internal controls and improving accounting processes
Ability to manage vendors with clear accountability
Benefits
401(k)
Company
The Judge Group
Results through the Power of Experience.
Funding
Current Stage
Public CompanyTotal Funding
unknown1997-02-14IPO
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