Corporate & Treasury Accountant
Job Summary: We are seeking a detail-oriented and analytical Corporate & Treasury Accountant to monitor our cash flows, banking operations, and short-term investments. This role is essential in ensuring efficient cash management, accurate cash forecasting, and compliance with internal controls and external regulations. The ideal candidate has a solid understanding of treasury functions, financial systems, and banking platforms. This candidate will be a resource within our consolidated finance organization and also assist with our month-end close process. Key Responsibilities:
- Monitor daily cash balances across multiple bank accounts and Minor League Baseball Clubs.
- Reconcile cash transactions including transfers, payments, and receipts in our Corporate bank accounts.
- Assist in the preparation of our weekly 13-week cash flow forecasts and variance analysis.
- Support the month-end close process by preparing cash and bank-related journal entries, as well as other journal entries as requested.
- Manage banking relationships and assist in opening, maintaining, and closing bank accounts.
- Ensure all treasury transactions comply with internal controls, policies, and audit requirements.
- Collaborate with the Accounts Payable, Accounts Receivable, and Financial Planning teams to manage liquidity effectively.
- Assist in short-term investment activities and ensure proper recording and valuation.
- Improve and maintain treasury-related documentation, procedures, and reporting tools.
- Support the Corporate month-end close process, including completion of monthly account reconciliations, variance analysis and budget vs actual commentary.
- Drive special projects, including the implementation of Kyriba, our Treasury Management platform, for new and existing bank accounts and automation of bank reconciliations in NetSuite.
- Prepare consolidated payroll journal entries.
Qualifications and Skills:
- Bachelor’s degree in Accounting, Finance, or a related field.
- 3-5 years of relevant experience in corporate accounting and cash management.
- Strong understanding of cash flow management, bank reconciliations, and financial controls.
- Proficiency in Excel and financial ERP systems (e.g., NetSuite).
- Experience with treasury management systems (e.g., Kyriba) is a plus.
- Excellent analytical and problem-solving skills.
- High attention to detail and accuracy.
- Strong communication and interpersonal skills.
Preferred Qualifications:
- Professional certification such as CPA, CMA, or CTP (Certified Treasury Professional) is a plus.
- Experience in multinational or multi-currency environments.
- Knowledge of regulatory compliance related to banking and cash handling.
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