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Accounts receivable manager Jobs in New Haven, CT

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Accounts receivable manager • new haven ct

Last updated: 3 days ago

Planetree Finance Accountant/Coordinator

Griffin HospitalDerby, CT, United States
Full-time

Finance Accountant / Coordinator.The Finance Accountant / Coordinator provides hands-on accounting and finance operations support for Planetree.The role prepares and processes accounts payable and ... Show more

Manager

Dunkin'Milford, CT, United States
Full-time

The Store Manager provides leadership to support the goals and strategies by ensuring our Dunkin' customers have a warm and friendly customer service experience.Inspires and develops associates by ... Show more

Credit & Collections Specialist

Top Prospect Group LLCShelton, CT, US
$29.00 hourly
Temporary
Quick Apply

Job Title: Credit & Collections Specialist.Location: Fully Onsite in Shelton, CT 8AM-5PM Monday-Friday.Type: 3 Month Contract To Hire.Salary: $29-30 per Hour DOE plus Benefits.Proficient in Exc... Show more

Business Office Manager

Whitney Rehab Care CenterHamden, CT
Full-time

Whitney Rehabilitation Care Center  .Whitney Rehabilitation Care Center.Privately owned and operated, we offer short and long term skilled nursing care and rehabilitation as well as outpatient ther... Show more

Business Office Manager Skilled Nursing Facility

Ark Healthcare and Rehabilitation at Branford HillsBranford, CT
Full-time

Ark Healthcare and Rehabilitation at Branford Hills -.Skilled Nursing Facility seeks a.Full-Time Business Office Manager.Experience required in the following responsibilties:.Direct processing of a... Show more

Hiring: Accounts Payable || Portland,ME or Orange, CT

Sunrise SystemsOrange, Connecticut, United States
Temporary
Quick Apply

Duration: 02 Month Contract (Possible extension based on work performance).Work Hours: 8-4:30 or 8:30 to 5:00 with hour for lunch.Office experience, invoice booking.SAP experience, if possible, o... Show more

Director of Finance

New Day Executive SearchNew Haven, CT, United States
Full-time

A leading real estate organization is seeking a results-driven Director of Finance to elevate its financial operations.This is an excellent opportunity for an experienced finance leader to make a s... Show more

Accountant, Finance: Non-Profit

West Haven Community HouseWest Haven, CT, United States
Full-time

Accountant Position at West Haven Community House.Join Our Finance Team: West Haven Community House is Seeking a Collaborative and Strategic Accountant to join our Finance team.The West Haven Commu... Show more

Manager

Dunkin' - Franchisee Of Dunkin DonutsDerby, CT
Full-time

We are a locally owned and operated Dunkin' franchise, with a fast-paced, high energy environment where you get to interact with loyal customers every day.You are applying for work with a franchise... Show more

Accounts Receivable Portfolio Specialist

QuadientMilford, United States
Full-time

The Portfolio Specialist is a highly regarded collection’s professional within the company’s Collections Department.Our Collectors are decision makers who contact thirty (30) or more business custo... Show more

Regional Business Office Manager

Skilled Healthcare CenterBranford, CT
Full-time

We are seeking a detail-oriented, strategic, and experienced .Regional Business Office Manager.This leadership role ensures timely and accurate billing, collections, and cash posting for all p... Show more

Director of Finance

Leadership, Education and Athletics in Partnership, Inc.New Haven, CT, United States
$80,000.00–$90,000.00 yearly
Full-time

The Director of Finance plays a critical role in supporting LEAP's $7M annual operating budget through hands-on oversight of finance and accounting functions, grant financial reporting, and financi... Show more

Senior Account Associate- Commercial Insurance (Transportation)

Insurance Office of AmericaNew Haven, CT, US
Full-time

Title: Senior Account Associate - Commercial Lines.Remote, Eastern and Central Times Zones Only.Please note: If this position is posted as either fully remote and/or hybrid, in accordance with comp... Show more

Office Manager

Bloom Partners Talent SolutionsNorth Haven, CT, United States
$80,000.00 yearly
Full-time +1

Confidential Commercial Landscape & Construction Firm.We specialize in recruiting high-caliber leaders in the green industry, partnering with commercial landscape and construction firms that ar... Show more

Outsourced Accounting Senior Associate

CBIZNew Haven, CT, United States
Full-time

Locations 555 Long Wharf Dr, 8th Floor, New Haven, CT, 06511, US 53 State Street, 17th Floor, Boston, MA, 02109, US (Hybrid).Essential Functions and Primary Duties.Oversee the month-end and year-en... Show more

CDL Driver Local | Home Daily | Dedicated Accounts | 2 Days Off Weekly

Bobcat TransportWest Haven, Connecticut, United States
$1,500.00 weekly
Full-time

Now hiring Class A CDL drivers for local dedicated runs with consistent freight, strong weekly pay, and home daily schedules.This is a great opportunity for drivers looking for steady local work wi... Show more

Payroll & AP/AR Specialist

Advanced HospitalityMilford, CT, US
Full-time
Quick Apply

This position is fully onsite in Milford, CT.About Us We are a professional human resources and staffing firm based in Milford, CT, specializing in life sciences, healthcare, hospitality, finance, ... Show more

Manager

Eli's Restaurant GroupHamden, CT, United States
Full-time

Join the Eli's Restaurant Group family! Our restaurants are recognized for great food and service and as great places to work.We hire and care deeply for people with creativity, passion and the dri... Show more

Remote A/R Follow-up Manager - AI Trainer ($75-$75 per hour)

MercorWest Haven, Connecticut, US
$75.00 hourly
Remote
Full-time

Mercor is working with a leading AI research lab to improve the capabilities of next-generation AI systems.We are seeking experienced A/R Follow-Up Managers to evaluate AI tools designed to automat... Show more

Automotive Service Manager/ Assistant Manager

Midas - AMG EnterprisesBRANFORD, CT, US
$70,000.00 yearly
Full-time

Automotive Management Group is looking for an organized, detail oriented professional to manage the work flow of a busy Automotive Repair Shop.Here is why you should consider working for AMG Enterp... Show more

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Planetree Finance Accountant/Coordinator

Planetree Finance Accountant/Coordinator

Griffin HospitalDerby, CT, United States
24 days ago
Job type
  • Full-time
Job description

Finance Accountant / Coordinator

The Finance Accountant / Coordinator provides hands-on accounting and finance operations support for Planetree. The role prepares and processes accounts payable and receivable transactions, billing, reconciliations, close schedules, financial records, compliance trackers, audit documentation, and recurring reporting support.

Working under the Finance Manager / Controller, the position helps ensure that financial information is accurate, complete, timely, and supported by appropriate documentation. The role works closely with budget owners, vendors, clients, banks, auditors, external advisors, and colleagues across Planetree's global operations.

This is a preparation, processing, coordination, and control-support role. It does not independently approve its own work, release payments outside delegated authority, make final accounting, legal, tax, insurance, or enterprise-risk determinations, or own Board-level financial reporting. Duties and system access must be assigned to maintain appropriate segregation of duties.

Finance Team Structure

Role - Primary Accountability

Vice President, Corporate Services - Sets executive direction; owns final budget and forecast recommendations, major financial decisions, Board-level communication, and enterprise risk oversight.

Finance Manager / Controller - Manages accounting, close, reporting, budgeting and forecasting processes, finance controls, cash-flow reporting, analysis, and review of finance support.

Finance Accountant / Coordinator - Prepares and processes approved transactions, reconciliations, billing, schedules, records, trackers, audit requests, and routine compliance and reporting support.

Responsibilities

Finance Operations and Stakeholder Support

  • Provide accurate, timely, and service-oriented finance support to the Finance Manager / Controller, budget owners, and other internal stakeholders.
  • Maintain recurring finance calendars, task lists, trackers, and supporting documentation so deadlines and follow-up items are visible and completed.
  • Respond to routine finance inquiries, obtain missing information, and route judgment-based or approval matters to the Finance Manager / Controller.
  • Identify discrepancies, overdue items, unusual activity, or control concerns and escalate them promptly with supporting information.

Accounts Payable, Purchasing, and Expenses

  • Receive, review, code, and enter vendor invoices, payment requests, and employee expense reimbursements after confirming required approvals and supporting documentation.
  • Match invoices and payment requests to contracts, purchase orders, budgets, and receiving or service confirmation, as applicable.
  • Prepare complete payment packages and payment batches for review and approval; do not independently approve or release payments outside delegated authority.
  • Maintain accurate vendor records and collect required tax forms, banking documentation, and onboarding information in accordance with approved procedures.
  • Track open commitments, unpaid invoices, employee advances, credit-card activity, and missing expense documentation and coordinate timely resolution.
  • Support bank and credit-card transaction coding and ensure supporting records are complete and stored in the designated location.

Accounts Receivable, Billing, and Collections

  • Prepare and issue client invoices based on approved contracts, milestones, billing schedules, expense documentation, and instructions from authorized owners.
  • Record cash receipts and maintain accurate invoice, payment, credit, and receivables-aging records.
  • Maintain collections and billing-input trackers, send routine reminders, and coordinate with internal relationship owners on overdue balances or disputed items.
  • Reconcile billing records to contracts, project trackers, accounting records, and other approved source systems and investigate differences.
  • Escalate materially overdue accounts, disputed charges, unusual payment requests, or other collection risks to the Finance Manager / Controller.

Accounting, Reconciliations, and Financial Close Support

  • Prepare bank, credit-card, balance-sheet, and other assigned account reconciliations with clear supporting schedules and explanations for open items.
  • Prepare routine journal entries, accrual schedules, allocations, and supporting workpapers for review and posting in accordance with approved procedures.
  • Complete assigned monthly and year-end close tasks by established deadlines and maintain the close checklist and evidence of completion.
  • Investigate discrepancies, obtain missing support, and prepare proposed corrections for review by the Finance Manager / Controller.
  • Maintain organized, complete, and audit-ready accounting records in accordance with retention requirements and established naming and filing conventions.
  • Support project, contract, grant, sponsorship, restricted-fund, and regional accounting schedules as applicable.

Budgeting, Reporting, and Cash Support

  • Maintain budget and forecast templates, compile budget-owner submissions, and check inputs for completeness, consistency, and mathematical accuracy.
  • Load or maintain approved budgets and forecasts in designated files or systems and preserve clear supporting assumptions and version history.
  • Prepare recurring budget-to-actual, receivables, payables, cash, project, and other finance reports for review by the Finance Manager / Controller.
  • Update short-term cash trackers using current bank balances, approved commitments, receivable expectations, and known payment schedules.
  • Prepare supporting schedules, data extracts, and explanations for management, leadership, and Board reporting packages.
  • Support ad hoc analysis by gathering reliable source data and documenting the basis, timing, and limitations of the information provided.

Compliance, Audit, Internal Controls, and Risk Support

  • Maintain the finance compliance calendar and supporting evidence for audit, tax, nonprofit, grant, insurance, banking, contract, and other assigned deadlines.
  • Coordinate routine audit and external-advisor requests, prepare schedules, collect supporting records, and track open items through completion.
  • Follow documented finance policies, approval workflows, record-retention standards, and system-access requirements and identify exceptions for management review.
  • Maintain logs of control exceptions, missing documentation, unresolved reconciliations, overdue receivables, and other identified finance risks.
  • Support periodic reviews of vendor records, banking instructions, approvals, system access, and transaction documentation to help detect errors or irregularities.
  • Promptly escalate suspected fraud, unusual activity, policy violations, privacy or confidentiality concerns, and material control gaps; legal, tax, insurance, accounting-policy, and enterprise-risk determinations remain with the appropriate manager, executive owner, or qualified external advisor.

Financial Systems, Documentation, and Process Improvement

  • Maintain accurate data in accounting, purchasing, expense, CRM, banking, and related finance systems within assigned access rights.
  • Maintain current procedures, templates, checklists, account mappings, contact lists, recurring-report instructions, and backup documentation.
  • Recommend practical workflow and automation improvements that increase accuracy, timeliness, transparency, and ease of use without weakening controls.
  • Support cross-training, backup coverage, testing, and implementation of approved finance-system or process changes.

Teamwork & Culture

  • Live and uphold Planetree's Mission, Vision, and Values.
  • Work collaboratively, reliably, and respectfully with colleagues across the organization and globally.
  • Demonstrate compassion, openness, accountability, confidentiality, attention to detail, and sound judgment.
  • Contribute to continuous improvement, organizational learning, and constructive feedback.
  • Complete mandatory training and required compliance activities in a timely manner.

Critical Skills

  • Working knowledge of accounting principles and practical experience with accounts payable, accounts receivable, reconciliations, journal entries, and financial records.
  • Strong accuracy, attention to detail, organization, follow-through, and ability to meet recurring deadlines.
  • Ability to prepare clear schedules, maintain reliable documentation, and investigate differences before escalating them.
  • Understanding of approval controls, segregation of duties, audit readiness, confidentiality, and records management.
  • Ability to recognize unusual transactions, missing support, control exceptions, and potential financial risks and escalate them appropriately.
  • Strong spreadsheet, data-management, and financial-systems skills.
  • Clear written and verbal communication and a service-oriented approach to working with financial and non-financial colleagues.
  • Professional judgment, discretion, adaptability, and willingness to support both routine processing and changing organizational priorities.

Competencies

Area - Minimum - Preferred

Education - Associate degree in Accounting, Finance, Business Administration, or a related field; an equivalent combination of education and relevant experience may be considered. - Bachelor's degree in Accounting, Finance