Accounting Coordinator

EPTAMilano, TX
Remote

About The Position

Are you a hands-on accounting professional ready to combine technical expertise with team coordination responsibilities? Join Epta Group as an Accounting Coordinator and play a key role in ensuring accurate financial reporting while supporting and guiding a small team. In this role, you will act as a key link between local operations and Corporate Finance, while also providing day-to-day coordination and support to team members, ensuring smooth and efficient accounting operations. You will ensure the reliability and integrity of the company’s accounting system while contributing to a well-organized, collaborative, and high-performing team environment.

Requirements

  • Degree in Economics, Finance, or Accounting
  • 5+ years of experience in accounting or similar roles
  • Initial experience in coordinating or guiding others (formal or informal people management or mentoring)
  • Intermediate level of English

Nice To Haves

  • Experience in multinational environments is strongly preferred
  • Strong knowledge of financial reporting and accounting standards
  • Solid experience in tax management and compliance
  • Ability to manage financial risks, audits, and treasury operations
  • Familiarity with ERP systems and financial tools
  • Capability to drive process improvements and support team efficiency
  • A proactive and solution-oriented professional
  • Comfortable taking ownership while supporting others
  • A clear communicator who enjoys sharing knowledge and helping colleagues grow
  • Detail-oriented with a strong sense of accountability
  • Comfortable in a fast-paced, international environment

Responsibilities

  • Build strong relationships with Corporate stakeholders, providing timely insights and value-added improvements
  • Prepare financial statements in line with local and international accounting standards
  • Deliver monthly financial reporting using Group tools (e.g. SAP/HFM)
  • Ensure compliance with tax, legal, and statutory requirements, supported by external advisors
  • Support audit processes, risk analysis, and cash control, strengthening a culture of compliance
  • Oversee treasury and banking activities, ensuring effective cash flow management
  • Coordinate and support a small accounting team, helping to prioritize tasks, share knowledge, and ensure deadlines are met
  • Act as a go-to person for operational topics, fostering collaboration and consistency within the team

Benefits

  • A dynamic and international working environment
  • Exposure to corporate finance and global processes
  • Opportunities to develop both technical and coordination skills
  • A culture focused on collaboration, accountability, and continuous improvement
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