To support financial integrity and liquidity management, the full-time Accounting and Treasury Manager will oversee core accounting operations, manage global treasury functions, and collaborate with senior leadership in a hybrid work environment. Key responsibilities Manage general accounting activities, including GL, AR/AP, revenue recognition, and financial reporting Oversee global cash flow forecasting and daily cash management, ensuring effective capital deployment Lead compliance with debt agreements and enhance treasury processes and systems for operational efficiency Required qualifications Bachelor's degree in Accounting, Finance, or a 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 ERP and treasury systems, such as Netsuite or Kyriba
Accounting and Treasury Manager in workfromhome at Unknown Company
This position is listed as full time and hybrid.