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This is an ideal role for someone who wants breadth, ownership, and high visibility in a collaborative, mission-driven environment. You’ll support everything from banking, cash management and investments to grants, real estate and organizational finance.
Job Responsibility:
Oversee banking relationships, cash management and liquidity planning
Manage cash flow forecasting and monitoring across programs and entities
Track investments and debt obligations
Ensure accurate cash reconciliations and maintain strong internal controls
Maintain general ledger, journals and financial systems
Lead complex accounting processes and month-/year-end close
Prepare financial statements and reports for internal leadership, funders and auditors
Support budgeting, reporting and financial analysis across departments
Recommend and implement process improvements and system enhancements
Serve as a trusted financial advisor to program teams and leadership
Partner with external auditors, funders, and compliance agencies
Provide guidance on accounting policies, procedures, and regulatory compliance
Requirements:
Bachelor’s degree in Accounting, Finance, or a related field
Minimum of 4 years of progressive experience in accounting or auditing roles
Proven expertise in cash management, treasury functions, and banking operations
Proficiency in advanced Excel and accounting systems
Strong attention to detail with excellent organizational abilities to handle multiple priorities effectively
Exceptional communication skills, with the ability to simplify complex financial data for non-financial stakeholders
Knowledge of general ledger, journal entries and reconciliation processes
Familiarity with accounting policies and regulatory compliance standards