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Finance Manager-Accountant & Treasury

United States, Greenwich Employment contract · Job Posted June 28, 2026
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Job Description

This role will support the company’s senior leadership with a wide range of accounting, treasury, cash flow forecasting, reporting, and finance projects while partnering closely with both leadership, global colleagues and external advisors.

Job Responsibility

  • Oversee day-to-day accounting activities and maintain accurate, timely financial records
  • Track cash balances and support short-term cash planning and treasury operations
  • Prepare and manage a rolling 13-week cash forecast, enhancing accuracy and process ownership
  • Coordinate payments and treasury administration while maintaining proper controls and documentation
  • Develop financial reports, dashboards, and presentations for leadership review and planning
  • Analyze financial and operational data to identify trends, explain results, and support decisions
  • Collaborate with internal stakeholders and external partners on accounting, reporting, and cash management
  • Support special projects and process improvements to enhance finance operations and reporting

Requirements

  • Bachelor’s degree in Accounting, Finance, or related field
  • 5+ years of relevant experience, ideally starting career within public accounting
  • CPA highly preferred
  • Strong working knowledge of accounting fundamentals, reconciliations, and financial reporting practices
  • Advanced Excel capabilities, including the use of formulas, pivot tables, and cash tracking models
  • Fluency in multiple languages is highly beneficial

Nice to have

  • CPA highly preferred
  • Fluency in multiple languages is highly beneficial

What we offer

  • medical, vision, dental, and life and disability insurance
  • 401(k) plan

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