
VP of Accounting
Posted 3 hours ago

Posted 3 hours ago
This is a fully remote position, open to applicants in United States.
• Establish direction, priorities, and operational rhythms across accounting, reporting, treasury, controls, insurance, and risk management.
• Lead a high-performing organization with defined accountability, strong cross-functional collaboration, and consistent execution.
• Collaborate with the CFO and business leaders regarding accounting, reporting, and financial governance issues that facilitate robust business decisions.
• Ensure the executive team and board receive clear, concise, and actionable reports on financial performance, cash flow, and operational outcomes.
• Provide executive oversight of the closing process, external and management reporting, application of accounting policies, and audit preparedness.
• Align teams around a unified perspective of actuals, accruals, and reported results.
• Cultivate talent and enhance the organization as the company expands.
• Strengthen internal controls, reporting standards, and financial processes as the organization scales.
• Oversee the broader financial governance framework, ensuring compliance with company policies and relevant requirements.
• Manage banking relationships and ensure the company has the appropriate treasury services and financial infrastructure in place.
• Supervise liquidity, cash, and treasury discipline to support company operations and growth.
• Collaborate with product leadership and the executive team to establish best practices for the Payments product, including fund flow optimization, risk management, and network compliance.
• Provide executive oversight of tax planning and compliance in collaboration with internal and external advisors.
• Over 10 years of progressive leadership experience in accounting, finance, controllership, or related fields.
• Extensive experience overseeing accounting functions, including closing processes, financial statement review, accounting policy, audit support, and controls.
• Significant experience in leading financial reporting, management reporting, and core accounting operations.
• Proven experience in managing teams and building strong finance and accounting departments.
• Experience in creating executive-ready dashboards, reporting packages, and financial presentations.
• Advanced Excel and spreadsheet capabilities, with proficiency in financial systems, BI tools, and financial management software.
• Strongly preferred experience in cash management, treasury, banking, tax coordination, insurance, or related financial risk responsibilities.
• Experience in software, SaaS, payments, or other subscription-based businesses is a significant advantage.
• Familiarity with ERP, close management, consolidation, or reporting systems is a plus.
• Why Grant Street Group?
• We value teamwork, professional excellence, and individual accountability.
• We provide a technology-rich work environment that allows us to support our employees' needs wherever they may be.
• Minimal travel is required: only 1-2 weeks per year for on-site meetings.
• If you are enthusiastic about your work, possess an entrepreneurial spirit, and wish to join a team of exceptional professionals, Grant Street Group may be the ideal opportunity for you.
• We eagerly anticipate getting to know you!
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