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Sticks Management

via LinkedIn

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In-House Accountant & Business Manager (External)

Anywhere
Full-time
Posted 12/4/2025
Verified Source
Key Skills:
Accounting
Financial Management
Budgeting
QuickBooks
Excel
Royalty Accounting
Tour Budgeting
Payroll Management

Compensation

Salary Range

$60K - 90K a year

Responsibilities

Manage financial operations, budgeting, royalty accounting, payroll, and strategic financial planning for a music artist's business.

Requirements

Bachelor's degree in Accounting or Finance, 3-5+ years accounting/business management experience, music industry knowledge, proficiency in QuickBooks and Excel, strong communication and confidentiality skills.

Full Description

Sticks Management is seeking a highly organized, trustworthy, and proactive In-House Accountant & Business Manager on behalf of a Client. This position will be hired directly by the Client and will not be affiliated with Sticks Management or The Neal Agency. The In-House Accountant and Business Manager will oversee financial operations, manage budgets, coordinate revenue streams, and help guide the business side of a rapidly growing entertainment career. This role is ideal for someone who understands the fast-paced, dynamic nature of the music industry and can bring structure, clarity, and long-term planning to the artist’s financial ecosystem. Qualifications • Bachelor’s degree in Accounting, Finance, or related field (CPA preferred but not required) • 3–5+ years of accounting or business management experience; entertainment industry experience strongly preferred • Strong understanding of music industry revenue streams (touring, royalties, publishing, merchandising, etc.) • Proficiency with QuickBooks, Excel/Sheets, and industry-specific accounting tools • Exceptional attention to detail, confidentiality, and communication skills • Ability to work flexible hours based on tour schedules, release cycles, and industry needs Responsibilities • Financial Management & Reporting • Maintain accurate accounting records, including income statements, balance sheets, cash flow reports, and tour P&Ls • Oversee royalty accounting and reconcile statements from labels, publishers, PROs, distributors, and digital platforms • Monitor cash flow, create monthly and quarterly financial reports, and advise on financial planning • Manage accounts payable/receivable, vendor payments, and tax documentation • Touring & Live Performance Support • Create and track tour budgets, settlements, and travel expenses • Coordinate with tour managers, booking agents, and production teams regarding financial logistics • Ensure compliance with per diem guidelines, payroll, and state/local filing requirements • Business Operations • Manage corporate structure, annual filings, insurance policies, and contract tracking • Oversee payroll for band, crew, and support staff • Work closely with legal, management, and label partners to review financial terms and ensure deal alignment • Strategic Planning • Provide long-term financial forecasting and investment guidance • Evaluate and advise on merchandising, sponsorships, and branding opportunities • Assist in building sustainable financial systems as the artist’s career grows Compensation & Benefits • Competitive Salary based on experience • Health, dental, and vision benefits • Paid time off and holidays

This job posting was last updated on 12/6/2025

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