
Accountant – Corporate & Treasury
Posted Aug 21

Posted Aug 21
This is a fully remote position, open to applicants in United States.
• Embody Lifeway's mission and values, demonstrating a strong dedication to Kingdom work.
• Oversee daily cash flow management to enhance liquidity, maximize short-term investment returns, and act as the main liaison with external banking partners.
• Review corporate bank account reconciliations to ensure accuracy and adherence to internal controls.
• Prepare and assess corporate-level monthly financial statements while leading the accounting team in generating consolidated corporate reports.
• Conduct comprehensive financial analyses to assess business performance, uncover trends, and assist in strategic and operational decision-making.
• Serve as the authority on technical accounting related to GAAP standards, providing management with insights on the financial repercussions of business decisions and investment strategies.
• Function as the main accounting contact for international operations, overseeing reporting, consolidation, and compliance with local regulations and corporate policies.
• Offer short-term and long-term liquidity forecasts to aid in financial planning and contribute to treasury policy recommendations.
• Assist with royalty reconciliations and offer accounting advice for reserve funds and pension-related activities as necessary.
• Engage in evaluating and implementing process enhancements across financial systems, including Oracle Fusion and AI-enabled tools, to improve efficiency and reporting accuracy.
• Identify financial risks through proactive analysis and create mitigation strategies, including recommendations on cash management and risk exposure.
• Bachelor’s degree with a focus in Accounting or Finance is required.
• CPA or CMA certification is mandatory.
• A minimum of 5 years of progressively responsible accounting experience, including corporate-level financial analysis.
• Expert-level knowledge of GAAP and financial reporting standards is essential.
• Advanced proficiency in ERP systems, especially Oracle Cloud.
• Strong cash and treasury management skills, including liquidity forecasting and bank account reconciliation.
• High proficiency in Microsoft Office Suite, particularly Excel for financial modeling and analysis.
• Excellent written and verbal communication abilities, with the skill to present financial insights to senior stakeholders.
• Active involvement in an evangelical Christian church is required.
• Hands-on experience with Oracle Fusion ERP is preferred.
• Experience in international accounting, foreign exchange (FX) strategies, and cross-border financial operations is preferred.
• Familiarity with AI tools and automation in financial reporting or treasury workflows is preferred.
• Working knowledge of Power BI for financial data visualization and reporting is preferred.
• Strong Work from Anywhere (WFA) culture.
• Eligibility for remote work with autonomy and flexibility in working hours.
• Provision of equipment and resources for a productive and ergonomic workspace.
• Travel coverage for key team gatherings.
• Comprehensive healthcare benefits.
• Vacation and sick leave.
• Paid holidays.
• Care days.
• 401(k) retirement plan.
• Maternity and paternity leave.
• Adoption assistance.
• Time allocated for mission trips.
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