Accounting Manager
New
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JobgetherAccounting / Finance
Accounting Manager based in United States. Fully remote, full-time opportunity from Poland.Full-TimeManager
SalaryThe initial compensation level or salary range will be shared with candidates during the recruitment process and before employment begins.
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Job Details
- Languages
- Upper-Intermediate English proficiency (B2+)
- Experience
- 3+ years
- Required Skills
- Microsoft ExcelGoogle SheetsQuickBooks
Requirements
- 3+ years of experience as a Senior Accountant, International Accountant, General Ledger Accountant, or in a comparable accounting position.
- Strong practical knowledge of accounting under IFRS and/or US GAAP.
- Hands-on experience with statutory reporting, external audits, and local tax compliance across multiple jurisdictions.
- Experience managing accounting in an ERP alongside QuickBooks or Xero.
- Practical understanding of automated financial data ingestion, including bank feeds and API integrations.
- Advanced proficiency in Google Sheets and/or Excel for reconciliations and financial analysis.
- Practical experience with P&L forecasting, budgeting, and plan-versus-actual variance analysis.
- Upper-Intermediate English proficiency (B2+).
- Strong organizational, analytical, and stakeholder-management skills.
- High level of autonomy and ability to drive processes through to completion.
Responsibilities
- Own full-cycle accounting for a portfolio of five international entities across the US, Hong Kong, Cyprus, and other jurisdictions.
- Manage month-end close activities, including general ledger and trial balance reviews, account reconciliations, and intercompany accounting.
- Maintain parallel accounting across the corporate ERP and QuickBooks, monitoring automated transaction feeds and identifying anomalies.
- Lead annual statutory audits for Cyprus and Hong Kong entities, coordinating with external auditors.
- Coordinate outsourced partners for US tax filings and local statutory returns.
- Own and maintain the group tax calendar, ensuring income tax, VAT, and local returns are filed and paid on time.
- Prepare and update monthly and quarterly P&L forecasts, including plan-versus-actual variance analysis.
- Support KYC, AML, and other financial compliance requests from banks and payment providers.
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