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Accountant, Financial Reporting

Job in Raleigh, Wake County, North Carolina, 27601, USA
Listing for: Relay
Full Time position
Listed on 2026-08-14
Job specializations:
  • Finance & Banking
    Financial Reporting
  • Accounting
    Financial Reporting
Salary/Wage Range or Industry Benchmark: 100000 USD Yearly USD 100000.00 YEAR
Job Description & How to Apply Below

Relay is the Intelligent System of Action for the physical economy. While the digital revolution has often left the deskless workforce behind, we are closing that gap by transforming analog frontline operations into a data-rich, AI-powered ecosystem. We aren't just selling radios, we're building the digital foundation for the 80% of the global workforce that doesn't work at a desk.

Why Join Relay?
  • A Proven Winner: Join a hyper-growth company trusted by over 10% of the Fortune 500, continuing to move upmarket with massive impact.
  • High Value, High Impact: With 47% of our revenue from $100K+ ARR customers and 135% Net Revenue Retention (NRR), you'll be joining a company rooted in value creation.
  • Market-Leading Innovation: The Relay platform captures 1 billion new data points weekly and features award-winning AI tools like Team Translate, with 500% YoY growth.
  • World-Class Leadership: Our stellar leadership team is built to help us scale toward our next major milestones.
  • The Relay Culture: We're dedicated to helping you do the best work of your life (BWIML), investing in your growth through L.I.T., living our CHASE values, and learning from incredibly talented, supportive teammates who make the work (and the wins) better every day.
Now, here's what we're building, and where you come in.
  • Cash Visibility & Liquidity Stewardship — Master the daily beat of company cash flow. Perform bank reconciliations in Net Suite, partnering with the billing team to ensure customer payments are properly applied before reconciliation — maintaining clean records and providing leadership with crisp, real-time insights into net cash position and working capital.
  • Expense Platform & Policy Leadership — Own the administration of Relay's modern expense (Navan) and corporate card platform (Brex). Streamline employee onboarding and offboarding workflows, curate frictionless spending policies, and leverage transaction data to monitor policy adherence, ensure consistent application of spending policies, identify spending trends, and surface any unusual or out-of-policy activity.
  • Accounting Liaison to FP&A and People Services — Serve as the liaison between Accounting, FP&A, and People Services, acting as the steward of all payroll-related activity in Net Suite. Partner closely with People Services to ensure payroll data is reflected accurately and in a timely manner in Net Suite, then work with FP&A to translate that data into departmental headcount spend, ensuring proper allocation to the right expense categories and cost centers.

    This cross-functional role is critical to delivering reliable visibility into people costs across the organization.
Financial Reporting & Ledger Maintenance
  • Account Ownership & Month-End Close: Own the full lifecycle of assigned balance sheet accounts — preparing and recording journal entries, completing balance sheet reconciliations, and performing bank reconciliations — to ensure a timely and accurate month-end close and reliable financial reporting in accordance with US GAAP.
  • People Services

    Collaboration:

    Partner closely with the People Services team to ensure payroll transactions are fed into Net Suite accurately and on time. This cross-functional relationship is critical to maintaining clean payroll-related GL records and ensuring the financial statements accurately reflect people costs across the organization.
  • FP&A Partnership & OpEx Allocation: Collaborate with the FP&A team to ensure operating expenses accurately allocated and reported by department across the company’s financial statement categories — G&A, Sales & Marketing, and R&D. Support the integrity of management reporting by ensuring transactions are coded to the correct cost center and OpEx classification, enabling leadership to make informed decisions on spend by function.
  • Billing Department

    Collaboration:

    Partner closely with the billing department to ensure timely, accurate application of customer payments, supporting financial integrity and real-time cash visibility. This cross-functional relationship is critical to maintaining clean accounts receivable records and providing leadership with a reliable view of the company’s cash position.
  • Audit…
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