Note: The job is a remote job and is open to candidates in USA. Harvey Nash is seeking an Accounting Manager who will oversee the company's accounting operations and provide critical analysis to support decision-making. The role involves managing the full accounting function, ensuring compliance with financial regulations, and collaborating with various teams to drive efficiency and accuracy in financial reporting.
Responsibilities
• Own the full accounting function, including GL management, consolidations, and multi-entity accounting.
• Lead and execute a timely, accurate Month-End Close (MEC) process.
• Maintain a strong internal control environment; draft, update, and enforce accounting policies and procedures.
• Ensure appropriate accounting treatment for complex financial products, investment activity, and SaaS revenue streams.
• Produce accurate monthly, quarterly, and annual consolidated financial statements in accordance with GAAP.
• Partner with FP&A to support variance analysis and operational reporting needs.
• Prepare and present key financial schedules and insights to leadership, Board of Directors, and Investors.
• Own the annual financial statement audit, working directly with external auditors.
• Manage and support SOC 1 audit requirements, documentation, and control testing.
• Ensure compliance with federal, state, and local tax filing requirements across all legal entities.
• Coordinate with external tax advisors to support corporate tax returns.
• Establish and maintain a comprehensive set of accounting policies, including revenue recognition, cost capitalization, investment treatment, and reserves.
• Recommend and implement tooling and workflow improvements to drive efficiency and accuracy.
• Ensure appropriate mapping and reconciliation of data across systems (e.g., banking, trust/custody, product platforms, ERP).
• Work closely with Operations, Product, Engineering, and Data teams to ensure accounting alignment with product changes and new initiatives.
• Serve as the accounting subject matter expert for financial services and investment-related workflows.
• Support strategic projects, new product launches, and corporate initiatives.
• Will be responsible for directing the day-to-day efforts of the accounting team and relationships with external partners.
Skills
• Bachelor’s degree in business, accounting, or related field
• 7-12 years of experience working directly in a combination of corporate accounting, finance, and public accounting (Top 7 firms preferred)
• Professional accounting certification (Active CPA, Inactive CPA, CMA, etc.)
• Early stage, venture backed company operational experience with a proven track record of building the proper team, reporting, controls, and systems to scalably grow
• Experience preparing and presenting complex information to key decision makers, across multiple legal entities, and consolidated financials.
• Experience with selecting and implementing software systems related to Accounting, Reporting, Planning, etc.
• Experience with M&A and reporting to institutional & professional investors
• Strong organizational and process management skills, comfortable prioritizing workload, operating semi-autonomously and delivering high-quality work output within a fast-paced, demanding environment.
• Self-disciplined with a drive to 'get things right'.
• Strong analytical skills, inquisitive nature, attention to detail, diligence. Analytical thinker with the ability to summarize financial data into clear and concise recommendations for strategic decision support.
• Exceptional financial modeling skills with great attention to detail and ability to distill complex issues into structured, actionable frameworks that are efficient, scalable and intuitive. Supports positions and recommendations with a focus on data.
• Forward-looking. Always searching for ways to improve productivity, reduce costs, and streamline processes with an eye toward scaling processes to handle high growth.
• Excellent verbal and written communication skills characterized as straightforward, responsible, and factual. Works hard to develop technical expertise, respect authority, and operate within established guidelines.
• Collaborative working style and demonstrated ability to build strong cross-functional relationships. Proven ability to develop and manage a small team.
• Strong working knowledge of Google Suite, MS Office, General Ledgers (QBO, Netsuite, Intaact, etc.), Expense Management Tools, BI Tools (Tableau), Smartsheet.
• Working knowledge of finance law and regulatory standards (GAAP)
• Strong understanding of economic and banking processes
Company Overview
• We’re Harvey Nash, and we build amazing technology and digital teams. It was founded in 1988, and is headquartered in London, England, GBR, with a workforce of 5001-10000 employees. Its website is http://harveynash.com.
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