As our Compliance and Treasury Manager, you will own the accounting, treasury, and compliance work that keeps our financial operations accurate, funded, and audit-ready. You will run month-end and year-end close across multiple entities, manage daily cash and banking relationships, and own the statutory filings and internal controls that keep us compliant.
It is a broad role with real ownership from day one. Whether you are closing the books, forecasting cash, anchoring an audit, or filing in a new state, you will see the whole financial picture rather than one slice of it - and your work will reach across finance, legal, and senior leadership.
What You'll Own- Close and financial reporting: Own month-end and year-end close across multiple entities, including intercompany activity, consolidations, reconciliations, and accurate US GAAP reporting delivered on schedule.
- Treasury operations: Manage daily treasury - cash positioning, liquidity planning, and cash flow forecasting that keeps working capital healthy.
- Banking and financing: Own banking relationships and oversee credit facilities, loans, guarantees, and covenant reporting.
- Internal controls: Design, strengthen, and maintain the internal controls that safeguard assets and keep the organization audit-ready.
- Audit coordination: Serve as the primary liaison for internal and external audits, and drive timely resolution of findings.
- Statutory and regulatory compliance: Own compliance end to end - timely filings, registrations, policies, and procedures across the jurisdictions where we operate.
- Tax filings and coordination: Manage direct and indirect tax filings, including multi-state and sales/use tax, and coordinate with external tax advisors on returns, notices, and audits.
- Technical accounting: Ensure correct accounting treatment for tax and treasury transactions and apply current standards accurately.
- Stakeholder relationships: Build trusted relationships with finance, legal, senior leaders, auditors, banks, and external advisors.
- Continuous improvement: Drive initiatives that make close, compliance, and treasury run more efficiently over time.
What You'll Bring- Bachelor's degree in Accounting, Finance, or a related field.
- CPA strongly preferred (CA, ACCA, CMA, or equivalent also considered). An MBA or Finance master's is a plus.
- 7 to 10 years of progressive corporate accounting experience, including at least 3 years in a managerial or supervisory role.
- Hands-on corporate accounting ownership is essential - you have personally run a month-end close, handled consolidations or multi-entity reporting, and produced GAAP financial statements inside a company.
- Practical treasury experience: cash management, liquidity planning, forecasting, and working with banking partners.
- Working knowledge of statutory compliance, internal controls, and multi-state tax filings.
- Big 4 or public accounting audit background is highly valued, particularly if you have since moved into an industry accounting role.
- Exceptional organization and deadline discipline. You manage filing calendars and competing priorities without anything slipping, and you communicate clearly with teams across the company.
- A proactive, "I'll figure it out" mindset - you dig into problems, adapt as priorities shift, and take ownership.
- Advanced Excel and strong Microsoft Office skills; ERP experience preferred.
We are looking for someone who wants to build something here. This is a seat where you can grow with the company, deepen your scope across accounting, treasury, and compliance, and become the go-to expert on how our financial operations run.
Perks & Benefits- Exclusive employee travel rates
- Travel discounts and exclusive rates on vacations
- Medical, dental, and vision insurance
- 401(k) with company participation