Accountant - Treasury, Reporting & Tax

INDUSTRIAL NETWORKING SOLUTIONSRichardson, TX
Hybrid

About The Position

Industrial Networking Solutions is seeking a high-performing Accountant to own Treasury operations, support executive financial reporting, and manage tax compliance coordination. This role is responsible for maintaining cash visibility, ensuring strong internal controls over bank activity, and coordinating with external tax advisors for sales tax and corporate tax matters. This position reports directly to the Director, Finance & Accounting and is designed for a detail-oriented, analytical professional who operates with a strong ownership mindset.

Requirements

  • Bachelor’s degree in Accounting or Finance
  • 2+ years of progressive accounting experience
  • Experience with bank reconciliations and cash management
  • Experience supporting monthly financial reporting
  • Strong understanding of GAAP
  • Advanced Excel proficiency

Nice To Haves

  • Experience coordinating with external tax advisors
  • Experience in multi-entity or high-volume environments
  • ERP experience (NetSuite, SAP, Dynamics, or similar)
  • Exposure to audit environments

Responsibilities

  • Perform and review monthly bank reconciliations for all accounts
  • Ensure reconciliations are completed accurately and timely
  • Maintain clear documentation of reconciling items and resolve exceptions promptly
  • Prepare and maintain weekly cash flow forecasts
  • Analyze cash inflows/outflows and identify trends
  • Assist in maintaining banking relationships and documentation
  • Support the monthly close process with assigned journal entries and reconciliations
  • Assist supervisor in preparing and updating the monthly financial reporting package
  • Ensure accuracy and consistency of financial data across reports
  • Maintain organized documentation supporting reported results
  • Serve as internal owner of sales tax data accuracy
  • Prepare and validate sales tax reports provided to outsourced compliance partner
  • Reconcile sales tax payable accounts monthly
  • Investigate and resolve discrepancies between system data and filed returns
  • Maintain documentation supporting audit readiness
  • Coordinate with external tax firm on quarterly estimated tax distributions
  • Prepare and provide required financial information to tax advisors
  • Track distribution calculations and ensure timely payment execution
  • Maintain a rolling tax calendar to prevent missed deadlines
  • Support annual tax return preparation and documentation
  • Maintain strong internal controls over cash and tax-related processes
  • Support audit requests related to treasury and tax accounts
  • Ensure reconciliations and supporting schedules are audit-ready
  • Identify control gaps and recommend improvements
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