Lead monthly and quarterly close processes, ensuring accurate and timely financial reporting. Own preparation and review of journal entries, account reconciliations, financial statements, and financial analyses. Manage revenue accounting matters, including revenue recognition and customer receivable reconciliation. Partner with data, engineering, and product teams to automate reporting and streamline accounting processes. Drive automation and process improvements in ERP and reporting workflows. Develop and document accounting policies and internal controls. Support external audits and tax compliance requirements. Support accounts payable process, including approving vendor bills and timely payments. Partner with FP&A for budget-to-actual reporting and business strategy insights.