Accounting Manager Remote Jobs in Rhode Island (US)
This page tracks remote accounting manager openings that are location-eligible for Rhode Island.
This page tracks remote accounting manager openings that are location-eligible for Rhode Island.
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The Nexus of Global Outsourcing Solutions - Dedicated and Professional Remote Staff to Grow Your Business
• Design, build, deploy, and maintain AI-powered bookkeeping and accounting agents using Claude and related technologies • Develop intelligent workflows that automate repetitive accounting and operational processes • Build modular, multi-agent systems that work together as a scalable platform • Continuously identify opportunities to expand automation and improve business efficiency • Rapidly translate business ideas into practical, production-ready AI solutions • Build AI systems to automate transaction coding and categorization • Create workflows for bookkeeping, receipt processing, client information gathering, and other accounting tasks • Integrate AI solutions with accounting platforms like Xero, QuickBooks, MYOB, etc. • Support ongoing evolution of an AI-first accounting platform • Collaborate with leadership to prioritize and deliver new AI capabilities.
At BILL, we believe in empowering the businesses that drive our economy. By replacing outdated financial processes with innovative tools, we help businesses—from startups to established brands—make smarter decisions and gain control of their operations. We value purpose, drive, and curiosity—and we thrive in a fast-paced, ever-changing environment. BILL builds high performing teams and we seek to hire the best talent for every role.
Role Description Make your impact within a rapidly growing Fintech Company. Our Accounting team plays a critical role in ensuring the integrity, accuracy, and scalability of BILL’s financial operations. As Accounting Manager, you will lead key General Ledger areas including corporate card spend, employee expenses, cash, accruals, and prepaid expenses, while helping strengthen processes in a dynamic, high-growth environment. This is a hands-on leadership opportunity for someone who enjoys solving complex accounting issues, elevating team performance, and building disciplined, audit-ready operations. You will partner closely with cross-functional stakeholders to improve how we close, reconcile, analyze, and report with confidence. Responsibilities: - Lead month-end close activities for cash, spend and expense, corporate card, accrual, and prepaid workstreams, ensuring journal entries are accurate, timely, and properly recorded in NetSuite. - Review monthly Spend and Expense and corporate credit card journal entries to ensure transactions are accurately mapped to the appropriate general ledger accounts and department codes. - Oversee the prepaid expense lifecycle, including reviewing new additions, maintaining amortization schedules, and ensuring timely and accurate recognition of monthly amortization expense. - Review monthly accruals for completeness, accuracy, and support, and investigate period-over-period fluctuations to drive timely reversals, adjustments, and issue resolution. - Perform and review monthly bank, credit card, and prepaid account reconciliations, using detailed variance and flux analysis to identify, troubleshoot, and resolve discrepancies. - Maintain robust workpapers, roll-forward schedules, and reconciliation documentation that support a clear audit trail and meet internal and external compliance standards. - Manage team member(s) by setting clear expectations, reviewing work product, providing coaching, and building a culture of accountability and continuous improvement. - Identify process breakdowns, system sync issues, and recurring accounting errors across expense and cash workflows, and implement corrective actions that improve accuracy, efficiency, and control. Qualifications - Bachelor’s degree in Accounting. - 5+ years of experience in General Ledger accounting or financial statement audit, including at least 1 year in a management or lead role. - Advanced proficiency in Microsoft Excel, including lookups, Pivot Tables, Index/Match, and working with large data sets to perform variance research and investigation. - Practical experience with NetSuite or a similar enterprise-level ERP system, along with demonstrated experience troubleshooting complex reconciliations, performing financial flux analysis, and managing prepaid schedules. - Strong analytical, communication, and detail orientation skills, with the ability to explain financial variances clearly, spot issues that may impact broader reporting, and manage complex close deadlines without sacrificing quality. - CPA is strongly preferred, and experience with a large public accounting firm is preferred. Requirements - Our ranges for each role and job level are based on a variety of factors including candidate experience, expertise, and geographic location and may vary from the amounts listed below. - The role is also eligible for a competitive benefits package that includes: medical, dental, vision, life and disability insurance, 401(k) retirement plan, flexible spending & health savings account, paid holidays, paid time off, and other company benefits. Benefits - 100% paid employee health, dental, and vision plans (choose HMO, PPO, or HDHP) - HSA & FSA accounts - Life Insurance, Long & Short-term disability coverage - Employee Assistance Program (EAP) - 11+ Observed holidays and wellness days and flexible time off - Employee Stock Purchase Program with employee discounts - Wellness & Fitness initiatives - Employee recognition and referral programs - And much more
We support companies with building winning websites, apps, AI and software through our marketplace and ecosystem.
Role Description In this role, you'll apply your expertise to help train next-generation AI systems. Your work will shape how models learn, reason, and perform through high-quality, real-world input. No prior experience in AI is required — your domain knowledge is what matters. - Analyze and evaluate accounting data, audit processes, and financial documentation to ensure compliance and accuracy for AI training purposes. - Review and interpret complex financial statements, reports, and office workflows to provide expert insights into best practices and process improvements. - Utilize software tools such as Access, Visio, Power BI, and MS Project to model, visualize, and communicate intricate accounting and audit scenarios. - Deliver high-quality written and verbal feedback on data inputs, financial procedures, and office scenarios to facilitate effective AI learning. - Collaborate with a multidisciplinary remote team to validate financial data, clarify audit standards, and support the development of robust training materials. - Identify gaps in data or processes and propose solutions to optimize both human and AI understanding of accounting and auditing principles. - Document detailed workflows, audit trails, and accounting methodologies for reference and knowledge sharing. Qualifications - Expert knowledge and hands-on experience in accounting and audit office functions. - Familiarity with tools such as Access, Visio, Power BI, and MS Project is nice to have. - Exceptional written and verbal communication skills, with a strong attention to detail. - Demonstrated ability to analyze, document, and explain complex financial and audit processes. - Strong organizational skills, able to manage multiple priorities in a remote, collaborative environment. - Experience working with cross-functional teams and providing actionable feedback. - Commitment to high standards of data accuracy, integrity, and confidentiality. Company Description
QSP Geographics Inc. (QSP) is a fast-growing geospatial technology company that provides a range of industry-leading solutions in disciplines that include GIS services, CAD drafting, survey, engineering, and asset management services. We presently have over 125 employees with offices in Toronto and Ottawa.
Role Description We’re looking for a detail-oriented and proactive A/R Accounting Clerk to join our Accounting team. In this role, you’ll play a key part in keeping our accounting operations running smoothly, from managing accounts receivables/collections to supporting reporting cycles and improving processes. If you enjoy working with numbers, solving problems, and collaborating across teams, this is a great opportunity to grow your accounting career in a supportive and fast-paced environment. What You’ll Do - Accounts Receivable & Collections - Prepare and issue customer invoices accurately and on time - Monitor accounts receivable aging reports and follow up on outstanding balances - Execute collection efforts via phone, email, and written communication - Investigate and resolve billing discrepancies and payment issues - Maintain accurate, up-to-date customer account records - Process credit card payments and support collections activities, including preparing accounts for external agencies - Accounts Payable - Review, code, and process vendor invoices - Prepare and submit payments in accordance with company procedures - Resolve discrepancies and maintain strong vendor relationships - Maintain organized and accurate vendor files - General Accounting & Reporting - Maintain financial records, including journals and ledgers - Assist with month-end, quarter-end, and year-end close processes - Reconcile bank accounts, credit cards, and internal accounts - Research and resolve discrepancies in financial data - Process Improvement & Collaboration - Develop, maintain, and improve Excel-based tracking tools and reports - Collaborate with internal teams (sales, customer service, finance) to resolve account issues - Support billing processes and ensure adherence to customer contract terms - Help improve workflows and identify opportunities for efficiency - Expense & Program Administration - Support the company’s travel and expense program, ensuring timely reimbursement and compliance - Provide guidance and occasional training to employees on expense reporting - Additional Responsibilities - Assist with annual processes such as 1099 reporting and unclaimed property filings - Provide general administrative and project support to the finance team - Serve as backup for team members as needed Qualifications - High school diploma or GED required (Associate’s or Bachelor’s in Accounting or related field preferred) - 2+ years of experience in accounting, bookkeeping, or administrative support - Strong attention to detail and organizational skills - Ability to manage multiple priorities and meet deadlines - Excellent communication and interpersonal skills - Proactive mindset with a willingness to learn and improve processes - Intermediate Excel skills Benefits - Full benefits starting Day 1: Medical, Dental, and Vision - 401(k) with company match - Unlimited Flex Time Off plus 10 company-paid holidays - Professional development programs, tuition assistance, and quarterly book program - Free wellness coaching and pet insurance - Home office equipment stipend - Employee resource groups and exclusive employee discounts
• Oversee monthly accounting close to ensure compliance with US GAAP for 26 countries in LATAM, EMEA, APAC and Canada • Mentor and oversee accounting activities for 2 senior accountants • Work closely with Corporate Controller, FP&A, AR and AP Shared Service teams • Support M&A activities as they arise • Establish account reconciliation standards, including intercompany • Assess and document accounting processes across international entities to ensure appropriate cutoff procedures • Work with the Corporate Accounting and Consolidations team to push down purchase accounting for new acquisitions • Support changes and reorganizations within the International business
Role Description We're not just a workplace - we're a Great Place to Work certified employer! Proudly certified as a Great Place to Work, we are dedicated to creating a supportive and inclusive environment. At Sonic Healthcare USA, we emphasize teamwork and innovation. Join our front line of #HealthcareHeroes! Our mission is to advance the health and well-being of our communities as a leader in clinical laboratory solutions. In this role, you will: - Process the reconciliation of various statements, preparing them for payment and/or mailing. - Verify and process invoices for payment, ensuring appropriate approvals and backup information are provided in accordance with company policies and procedures. - Verify and prepare group account, nursing home, and dialysis billing in a timely manner. - May perform limited collection activities. - Handle cash and/or check deposits in a timely manner. - Reconcile bank statements and update bank book. - Reconcile cash clearing account. - Accurately enter data into computer system as required. - Check for discrepancies and research errors to ensure accuracy in a timely manner. - Process monthly recurring and lease payments. - Prepare year-end or periodic tax forms as required. - Maintain accurate spreadsheets as required. - Adhere to confidentiality, safety, compliance, and legal requirements. - Maintain consistent and reliable attendance and comply with company guidelines on attendance. - Perform other duties as assigned. Qualifications - High School Diploma or equivalent required or Associate Degree in accounting or related field preferred. - Minimum one year experience in accounting practices. - Experience and proficiency with accounting software, PC computers including word processing and spreadsheets, and 10-key calculators. - Strong math, analytical, and data entry skills required. - Excellent organizational skills required. Requirements - Scheduled Weekly Hours: 25 - Work Shift: 1st Shift (United States of America) - Job Category: Accounting / Finance Benefits - Appreciation for your work - A feeling of satisfaction that you’ve helped people - Opportunity to grow in your profession - Free lab services for you and your eligible dependents - Work-life balance, including Paid Time Off and Paid Holidays - Competitive benefits including medical, dental, and vision insurance - Help save for retirement with a 401(k) that includes a generous company match - A sense of belonging – we are a community! Company Description In 2008 Clinical Labs of Hawaii became a member of Sonic Healthcare Ltd. Sonic is headquartered in Sydney, Australia. Since its establishment in 1987, Sonic Healthcare has grown to become the world’s third-largest pathology/laboratory medicine company with operations in eight countries. Sonic’s success stems from the belief that a global culture of Medical Leadership leads to the delivery of outstanding medical services. Sonic Healthcare USA is an equal opportunity employer that celebrates diversity and is committed to an inclusive workplace for all employees. We prohibit discrimination and harassment of any kind based on race, color, sex, religion, age, national origin, disability, genetics, veteran status, sexual orientation, gender identity or expression, or any other characteristic protected by federal, state, or local laws.
Role Description This is a remote position. The purpose of the Accounting Manager is to oversee the Accounting Supervisors in Ahmedabad. This position involves collaborating with the US Tax/Accounting Management team to ensure that performance metrics, policies, and goals are consistent across teams. The manager is responsible for coaching and supporting supervisors to help develop their teams and maintain efficient and effective operations within the accounting department. - Team Oversight: Oversee the Accounting Supervisors, ensuring their teams meet performance expectations. - Collaboration: Work alongside the US and other entities Tax/Accounting Management team on performance monitoring and implementing policies. - Performance Monitoring: Ensure that the team meets targets and key performance indicators (KPIs). - Process Improvement: Identify opportunities to enhance efficiency and effectiveness within the accounting teams. - Cross-Departmental Collaboration: Foster collaboration between the Accounting team and other departments to ensure a smooth workflow and communication. Performance Metrics - Team Performance: Measured by the ability of the accounting teams to meet the targeted deadlines for the monthly/quarterly financial close and the rate of post-close adjustments/errors. - Supervisor Development: Success in coaching and developing supervisors to improve their leadership, technical accounting skills, and team management capabilities. - Collaboration with different entities: Efficiency in coordinating accounting processes in India to meet various entities’ financial reporting standards, deadlines, and ensure timely, high-quality management reports. - Process Efficiency: Success in identifying and implementing improvements to internal control processes to reduce processing time and minimize error rates. Qualifications - Bachelor’s degree in Accounting, Finance, or a related field. - 5+ years of experience in international accounting or a related field, with at least 2 years in a management role. - Strong leadership and coaching skills. - Excellent communication and collaboration skills. - Proficiency in accounting software, Excel, and reporting tools. - Experience with KPIs and performance management systems is preferred.
• Provide support to the finance department through assisting in the monthly close actions, accounts payable, daily cash reconciliation, audit assistance, and other ad hoc work • Complete month end close tasks including cash reconciliation, fixed assets, accrued expenses, credit card reconciliation, etc. in a timely manner • Assist in preparing weekly cash flow report • Act as a reviewer and administrator of employee expenses • Fulfill information requests from payroll • Reconcile cash transactions, cashing customer check payments, inputting accounts payable entries, paying bills, running AP/AR reports daily • Work with auditors to pull support requests • Assist in the creation of company-related documentation • Responsible for AP administration and reconciliation • Enter new customers in the accounting system • Internal point of contact for the department regarding various needs like credit card management, AP questions, and budgeting inquiries
A new standard for tech-enabled fund admin services focused on fundamentally improving how venture capital operates.
• Manage the day-to-day accounting and administration for a portfolio of private investment funds, including venture capital, private equity, or other fund strategies. • Prepare and review quarterly and annual financial statements in accordance with U.S. GAAP and other applicable accounting standards. • Calculate and review net asset values (NAVs), capital account statements, management fees, carried interest allocations, and investor allocations. • Process and oversee capital calls, distributions, investor transfers, and other fund transactions, ensuring accuracy and timely execution. • Reconcile cash, investments, bank accounts, and other balance sheet accounts while investigating and resolving discrepancies. • Coordinate with auditors, tax specialists and fund managers to support annual audits, tax reporting, and regulatory compliance requirements. • Build and maintain strong relationships with clients by responding to inquiries, delivering exceptional service, and communicating complex accounting matters clearly and professionally. • Look at existing processes and ask whether AI and automation could do them better
Role Description Provide support to the finance department through assisting in the monthly close actions, accounts payable, daily cash reconciliation, audit assistance, and other ad hoc work. - Complete month end close tasks including cash reconciliation, fixed assets, accrued expenses, credit card reconciliation, etc. in a timely manner. - Assist in preparing weekly cash flow report. - Act as a reviewer and administrator of employee expenses. - Fulfill information requests from payroll. - Reconcile cash transactions, cashing customer check payments, inputting accounts payable entries, paying bills, running AP/AR reports daily. - Work with auditors to pull support requests. - Assist in the creation of company-related documentation. - Responsible for AP administration and reconciliation. - Enter new customers in the accounting system. - Internal point of contact for the department regarding various needs like credit card management, AP questions, and budgeting inquiries. Qualifications - General knowledge of accounting and local GAAP. - Required: BA in Accounting, Finance or a related field. Benefits - A full-suite of industry leading benefits (list by location). - Remote work flexibility. Company Description Velsera was formed in 2023 through the shared vision of Seven Bridges and Pierian, with a mission to accelerate the discovery, development, and delivery of life-changing insights. - AI-powered multimodal data harmonization and analytics for drug discovery and development. - IVD development, validation, and regulatory approval. - Clinical NGS interpretation, reporting, and adoption. - The largest multi-modal data set in the world.
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