Accounting Manager

Troon Golf

$75K — $95K *
Legal & Accounting
Less than 5 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's degree in accounting or related field required.
  • Experience developing and leading a team is required.
  • Strong proficiency in Microsoft Excel and the Microsoft 365 suite.
  • Solid understanding of accounting transaction flows and financial statement impacts.
  • Strong organizational, communication, and people leadership skills in a fast-paced environment.

Responsibilities

  • Lead and oversee bank reconciliation process for Troon-managed facilities and Troon-corporate.
  • Hire, onboard, coach, and manage performance of a mid-sized team of accounting professionals.
  • Identify, recommend, and implement process improvements and standardization initiatives.
  • Collaborate with finance and operational leadership to develop and maintain standard operating procedures (SOPs).
  • Ensure strong internal controls and operational alignment across various departments.

Benefits

  • Team-oriented work culture that emphasizes accountability and operational excellence.
  • Opportunities for professional development and leadership growth.
  • Collaborative environment with finance and operational leaders.
  • Focus on continuous improvement and process standardization.
Full Job Description
The Bank Reconciliation Manager is a hands-on people leader responsible for driving performance, accountability, and operational excellence within a mid-sized team delivering bank reconciliation services for Troon-managed facilities and Troon-corporate. This role supervises and oversees month-end cash close, tracks key performance indicators, ensuring deadlines are met and financial results are accurate, timely, and GAAP-compliant.

As the primary owner of accounting outcomes, the Accounting Manager establishes clear expectations, enforces quality standards, and actively coaches team performance. The role ensures strong internal controls, process understanding and improvement, and operational alignment across Bank Reconciliation, Accounting, Accounts payable and Operations. This position requires confident leadership, sound judgment in accounting matters, and the ability to develop a high-performing, accountable team while driving continuous improvement.

Essential Duties:
  • Lead and oversee bank reconciliation process by supervising the accountants responsible for delivering bank reconciliations for Troon-managed facilities and Toon-corporate.
  • Hire, onboard, coach, and manage the performance of a mid-sized team of accounting professionals, establishing clear expectations and accountability for quality and timeliness.
  • Identify, recommend, and implement process improvements and standardization initiatives to enhance efficiency, accuracy, and scalability.
  • Collaborate with finance and operational leadership to develop, document, and maintain standard operating procedures (SOPs) and service delivery strategies.

Education/Experience:
  • Bachelor's degree in accounting or related field required.
  • Experience developing and leading a team is required.

Physical Demands:

Frequently sits, uses hands to finger, feel or handle. Reaches with arms, talks or hears. Occasionally stands, walks, climbs, balances, stoops, kneels, crawls or crouches. Occasionally lifts up to 25 pounds

Environment/Noise:
  • Noise level is moderate
  • Typical office environment

Certificates/Licenses:

N/A

Job Knowledge, Skill, and Ability Preferences:

Required:
  • Strong proficiency in Microsoft Excel and the Microsoft 365 suite.
  • Solid understanding of accounting transaction flows, and financial statement impacts.
  • Ability to identify process improvements, exercise sound judgment, and propose practical, compliant solutions.
  • Strong organizational, communication, and people leadership skills in a fast-paced environment.

Preferred:
  • Experience working with ERP or financial systems in a multi-entity environment; ability to quickly learn new platforms.
  • Comfort using Excel and reporting tools to review financial results and support analysis.
  • Experience supporting operationally complex or multi-location organizations.

This job description is not an exclusive or exhaustive list of all job responsibilities that an associate in this position may be asked to perform from time to time.

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