This role is responsible for managing U.S. corporate tax obligations, preparing state sales tax filings, monitoring compliance, and coordinating with external firms. The position also involves executing monthly close processes, managing fixed assets, performing account reconciliations, and supporting treasury and cash management functions including payment execution, accounts payable, and vendor processing. Collaboration with outsourced personnel and internal stakeholders is key to ensuring efficient operations.
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Job Type
Full-time
Career Level
Mid Level