Senior Accountant – Treasury Focus; Track
Listed on 2026-02-17
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Finance & Banking
Financial Reporting, Corporate Finance, Financial Analyst, Financial Manager
Senior Accountant – Treasury Focus (Growth Track) Position Summary
The Senior Accountant – Treasury Focus is a high-impact role designed as a development path toward Assistant Controller or Treasury Manager. This position blends technical accounting leadership with enterprise treasury oversight, providing exposure to capital strategy, executive reporting, and multi-entity financial operations.
The role partners closely with Accounting, FP&A, and executive leadership to ensure financial accuracy, optimize liquidity, and support strategic capital decisions. This is an ideal opportunity for a technically strong accountant seeking expanded responsibility in treasury management and financial leadership.
Key Responsibilities Accounting Leadership & Close ManagementLead month-end, quarter-end, and year-end close processes across multiple entities
Prepare and review financial statements, journal entries, and complex reconciliations
Oversee intercompany transactions and consolidation processes
Ensure compliance with GAAP and internal controls
Partner with external auditors and support annual audit execution
Identify and implement process improvements to strengthen reporting accuracy and efficiency
Manage enterprise cash forecasting and short- and long-term liquidity planning
Monitor daily cash positioning, reserves, and intercompany transfers
Track equity contributions, distributions, and capital activity
Support covenant compliance and lender reporting requirements
Assist in optimizing working capital and capital structure alignment
Develop and maintain financial models supporting forecasting and capital planning
Assist with IRR, NPV, and valuation analysis for financing and strategic initiatives
Prepare executive-ready reporting packages on liquidity, performance, and capital activity
Support refinancing, due diligence, and transaction-related financial analysis
Coordinate entity filings and ownership documentation updates
Support regulatory and financing documentation requirements
Gain exposure to capital markets interactions, lender communications, and executive presentations
Bachelor’s degree in Accounting, Finance, or related field
5–8+ years of progressive accounting experience with treasury exposure
Experience with in multi-entity or investor-backed environments preferred
Strong understanding of financial statements, consolidations, and cash flow dynamics
Advanced Excel and financial modeling skills required
CPA preferred; treasury certification a plus
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