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A bit about us:

Our client is a leading manufacturer of essential IV solutions that healthcare providers rely on every day. Driven by innovation, reliability, and operational excellence, they are committed to strengthening the healthcare supply chain and ensuring patients receive uninterrupted access to critical therapies. Their collaborative culture empowers employees to make a meaningful impact while growing their careers.

Why join us?

  • Play a key role in supporting products that directly impact patient care nationwide.
  • Gain ownership of financial reporting, treasury operations, and process improvement initiatives.
  • Collaborate with experienced finance leaders and cross-functional business partners.
  • Enjoy strong opportunities for professional growth in an innovative and mission-driven environment.

Job Details

About the Opportunity
Our client is seeking a detail-oriented Senior Accountant to join their growing finance team. This role offers the opportunity to take ownership of key accounting and treasury functions while partnering closely with finance leadership to support financial reporting, cash management, and operational decision-making. The ideal candidate combines a strong technical accounting foundation with hands-on experience managing month-end close activities and treasury operations.

Key Responsibilities
  • Lead monthly, quarterly, and annual close processes, including journal entries, account reconciliations, and variance analysis.
  • Manage treasury and cash management activities, including daily cash positioning, bank reconciliations, cash flow forecasting, and intercompany transactions.
  • Maintain banking relationships and coordinate treasury-related reporting, transactions, and issue resolution.
  • Prepare and review financial statements in accordance with GAAP and support external audit requirements.
  • Identify and implement process improvements to enhance accounting and treasury efficiencies.
  • Partner with FP&A, operations, and other internal stakeholders to support reporting, forecasting, and business initiatives.
  • Assist with financial analysis, special projects, and ad hoc reporting as needed.

Qualifications
Required
  • Bachelor's degree in Accounting, Finance, or a related field.
  • Strong understanding of GAAP and financial reporting principles.
  • Experience managing and owning month-end close processes.
  • Advanced Microsoft Excel skills.

Preferred
  • CPA designation.
  • Public accounting experience.
  • Corporate accounting experience within an industry environment.
  • Treasury, cash management, or banking relationship management experience.
  • Experience developing and maintaining cash flow forecasting models.

Ideal Background
  • Blend of public accounting and corporate accounting experience.
  • Strong attention to detail with the ability to work independently.
  • Experience improving accounting processes and driving efficiencies.
  • Effective communicator with the ability to collaborate across departments and support leadership decision-making.


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