Financial Accountant II (Treasury)

PF Changs China Bistro•Scottsdale, AZ
•Onsite

About The Position

At P.F. Chang’s, we take PRIDE in creating a heart-filled, guest-led Pan-Asian dining experience while delivering meaningful value for our guests, Team Members, and shareholders. Our vision is to be the most admired Pan-Asian restaurant company in the world. We are seeking an experienced Financial Accountant ll (Treasury) to join our Financial team at our Global Support Center in Scottsdale, Arizona.

Requirements

  • Requires a BS in Accounting, Finance, or a related field and at least 3 years of progressively responsible accounting, or financial operations experience.
  • Strong Excel skills are required.
  • Demonstrated process improvement experience.
  • High degree of accuracy and attention to detail when working with cash, banking activity, and financial transactions.
  • Effective written and verbal communication skills and ability to partner across Treasury, Accounting, Accounts Payable, Revenue, Real Estate, and other functions'.
  • Ability to handle sensitive financial information with appropriate confidentiality and professional judgment.

Nice To Haves

  • Restaurant, retail, hospitality, or other high-volume multi-unit experience is strongly preferred.
  • Workday, Tango or other Lease Accounting software skills are a plus.

Responsibilities

  • Prepare and post journal entries related to cash activity, bank fees, transfers, interest, accruals, reclasses, CAM reconciliations, and other assigned general ledger accounts.
  • Prepare daily, weekly, and/or monthly bank reconciliations for assigned bank accounts and ensure reconciling items are identified, researched, and resolved timely.
  • Investigate cash discrepancies, unidentified transactions, returned items, stale outstanding items, and bank-to-ledger differences in partnership with Treasury, Accounts Payable, Revenue, and other stakeholders.
  • Support treasury activities such as cash movement tracking, initiating ACHs and wires, confirmation of transfers, and documentation of banking activity, as assigned.
  • Prepare balance sheet reconciliations for assigned accounts and ensure documentation is complete, supportable, and audit-ready.
  • Assist with accounting system upgrades and implementations as needed.
  • Assist with CAM reconciliation project activities, including review of landlord statements, comparison of charges to lease terms and prior accruals, preparation of supporting schedules, and follow-up on discrepancies.
  • Assist with SOP documentation and other projects as needed.

Benefits

  • Medical, dental, vision and 401(K) starting on the 1st of the month following the hire date.
  • 20 days per calendar year for full-time Global Support Center team members, prorated for new hires.
  • 12 company-selected holidays plus 2 floating holidays per year.
  • Annual bonuses based on Company performance.
  • Tuition reimbursement for job related programs.
  • Preloaded meal card for use at any corporate-owned P.F. Chang’s location.
  • Access exclusive employee discounts.
  • Financial assistance through the Lucky Cat Fund during hardships for qualifying team members.
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