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We are looking for an Accounting Manager to join our growing team on a contract to hire basis. This role supports core financial operations with a strong concentration in tax compliance, treasury activity, cash flow visibility, and accurate financial reporting. The position is well suited for a hands-on, detail-oriented accounting specialist who can balance day-to-day execution with cross-functional collaboration.
Job Responsibility
Lead tax-related activities by preparing supporting schedules, organizing required documentation, and helping ensure timely compliance with federal, state, and local obligations
Oversee daily treasury operations, including monitoring cash activity, coordinating banking transactions, and maintaining clear visibility into available funds
Contribute to short-term and long-range cash forecasting to support liquidity planning and working capital decisions
Drive key close activities by preparing journal entries, completing account reconciliations, and helping maintain an accurate general ledger
Assist in the preparation and review of monthly, quarterly, and annual financial statements, along with variance analysis for leadership review
Partner with external advisors and auditors by supplying requested financial data and supporting tax and audit examinations
Work closely with operational and leadership teams to provide financial insight that supports business decisions and performance management
Recommend and help implement improvements to accounting procedures, internal controls, and financial reporting processes
Provide day-to-day guidance to accounting team members and support consistent execution of departmental priorities
Requirements
Bachelor's degree in Accounting, Finance, or a related discipline
At least 5 years of accounting experience, including responsibility for month-end close and financial reporting activities
Practical experience with tax compliance, treasury functions, cash management, or a combination of these areas
Strong knowledge of general ledger accounting, journal entries, account reconciliations, and financial statement audit support
Proficiency with ERP systems
experience with Microsoft Dynamics 365 or related Microsoft financial platforms is preferred
Advanced Microsoft Excel skills with the ability to analyze financial data efficiently and accurately
Excellent analytical, organizational, and communication skills, with the ability to manage multiple deadlines in a fast-moving environment