Role Overview
We are looking for an experienced Accounting Manager to take ownership of treasury operations and compliance activities within a complex, multi-entity organization. This role blends hands-on technical accounting, people leadership, and enterprise risk oversight, ensuring the company maintains strong controls, reliable reporting, and full alignment with GAAP and regulatory requirements.
The ideal candidate is a confident leader who understands the details behind the numbers, communicates clearly with stakeholders, and continuously looks for ways to strengthen processes and controls.
Responsibilities
- Lead, coach, and support a team focused on treasury and compliance activities
- Set clear priorities, deadlines, and performance expectations while fostering accountability and trust
- Collaborate closely with Finance, Accounting, Operations, and senior leadership to support data-driven decision-making
- Manage liquidity, banking relationships, and short- and long-term cash forecasting
- Oversee foreign currency activity, including execution, monitoring, reporting, and reconciliations
- Safeguard access controls across banking platforms and ERP systems, ensuring proper segregation of duties
- Track debt requirements and prepare covenant compliance reporting
- Administer corporate insurance programs, including renewals and annual insurance audits
- Ensure compliance with applicable regulations, internal policies, and industry standards
- Strengthen fraud prevention practices and internal control frameworks across the organization
- Oversee vendor setup, validation, and maintenance within ERP and data systems
- Maintain accurate customer account data, including credit limits and policy adherence
- Support accurate and timely accounts payable processing as part of assigned responsibilities
- Own treasury- and asset-related components of the month-end close process
- Prepare and review journal entries, reconciliations, and management reports
- Partner with auditors by preparing schedules, documentation, and audit support materials
Required Qualifications
- Bachelor’s degree in Accounting, Finance, or a related discipline
- 5+ years of progressive accounting and/or treasury experience
- Minimum of 3 years in a people management or team leadership role
- Strong working knowledge of GAAP, internal controls, and compliance principles
- Practical experience with treasury functions such as banking platforms, cash forecasting, and FX transactions
- Comfort working with ERP systems and financial reporting tools (e.g., SAP, Oracle, NetSuite, Dynamics, Famous)
Preferred Experience
- CPA, CTP, or similar professional certification
- Background in manufacturing, agriculture, food production, or multi-entity organizations
- Exposure to audit environments, fraud mitigation, insurance programs, and bank compliance reporting
Key Skills & Attributes
- Analytical mindset with strong attention to detail
- Clear communicator able to explain complex concepts to diverse audiences
- Organized, adaptable, and capable of managing competing deadlines
- Continuous improvement mentality with a willingness to challenge and refine processes