Accounting & Treasury Manager
Listed on 2026-08-08
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Finance & Banking
Financial Compliance, Financial Reporting -
Accounting
Financial Compliance, Financial Reporting
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ABOUTTHE ROLE
The Accounting & Treasury Manager is responsible for overseeing core accounting operations and global treasury functions to ensure the company’s financial integrity, liquidity, and compliance. This role leads general accounting activities (GL, AR/AP, revenue, and reporting) while also managing cash flow, banking relationships, and financial risk. The position partners closely with Finance, FP&A, and senior leadership to support strategic decision-making, optimize working capital, and maintain strong internal controls in a fast-paced, growth-oriented environment.
WHATYOU WILL DO Accounting Operations
- Manage the development, implementation, and maintenance of accounting systems, including:
General Ledger Accounts Receivable / Accounts Payable Journal entries and reconciliations Revenue recognition and cash flow reporting - Ensure accurate and timely month-end, quarter-end, and year-end closes in accordance with GAAP
- Design and implement accounting policies, procedures, and internal controls to meet audit standards and improve efficiency
- Oversee the preparation and analysis of financial reports and accounting data
- Support annual audits and coordinate with external auditors and consultants
- Ensure proper documentation and recordkeeping for compliance and historical purposes
- Support global cash flow forecasting (short- and long-term), with a focus on liquidity and working capital optimization
- Manage daily cash positioning, banking activity, and fund transfers across domestic and international accounts
- Monitor global cash balances and recommend strategies for effective capital deployment through close collaboration with Finance leadership
- Oversee bank account administration, including signatories, controls, and platform access
- Ensure timely and accurate bank reconciliations in coordination with Accounting team
- Support monitoring of compliance with debt agreements, including covenant tracking and lender reporting
- Manage debt-related transactions (interest, principal, fees)
- Ensure compliance with SOX and internal control frameworks
- Identify and manage financial risks, including foreign exchange exposure and counter party risk
- Continuously enhance processes, controls, and treasury systems/tools
- Evaluate and improve accounting and treasury systems, automation, and workflows
- Drive process efficiencies and data integration across financial platforms
- Recommend and implement enhancements to improve reporting accuracy and operational effectiveness
- Lead, coach, and develop accounting and/or treasury team members
- Establish performance goals and ensure alignment with company objectives
- Collaborate cross-functionally with FP&A, Tax, Legal, and business leaders
- Provide insights to leadership on liquidity, financial performance, and risk considerations
- Serve as a key advisor on financial operations and process improvements
- Bachelor’s degree in Accounting, Finance, or related field
- CPA, MBA, or CTP preferred
- 8+ years of progressive experience in accounting and/or treasury
- Strong knowledge of GAAP, cash management, and financial controls
- Experience with global treasury operations, banking, and cash forecasting
- Familiarity with ERP and treasury systems (e.g., Netsuite, Kyriba, or similar)
- Advanced Excel and financial modeling skills
- Strong analytical and problem-solving abilities
- High attention to detail and accuracy
- Ability to manage competing priorities in a fast-paced environment
- Excellent leadership and stakeholder management skills
- Strong communication and cross-functional…
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