Sr. Manager, Accounting

IllumioSunnyvale, CA
1dHybrid

About The Position

Onwards Together! Illumio is the leader in ransomware and breach containment, redefining how organizations contain cyberattacks and enable operational resilience. Powered by the Illumio AI Security Graph, our breach containment platform identifies and contains threats across hybrid multi-cloud environments – stopping the spread of attacks before they become disasters. Recognized as a Leader in the Forrester Wave™ for Microsegmentation, Illumio enables Zero Trust, strengthening cyber resilience for the infrastructure, systems, and organizations that keep the world running. Location: 4 on-site days a week in Sunnyvale, CA Headquarters. Our Team's Vision: Our Finance team operates at the forefront of Zero Trust Segmentation, driving efficient growth and strategic partnerships with our key stakeholders. We are dedicated to building scalable infrastructure and optimizing our financial model to support Illumio’s ambitious business goals. As we embark on a significant phase of growth, we welcome individuals who embody our values, consistently deliver excellence, and drive innovation. Join us in shaping the future of cybersecurity while advancing your career at Illumio, where every contribution counts towards our collective success.

Requirements

  • Bachelor’s degree in Accounting, Finance, or related field; CPA strongly preferred
  • 8+ years of progressive accounting experience with 3+ years in management roles.
  • Extensive knowledge of cash management, accounts payable, month-end close processes, and tax coordination.
  • Experience managing teams, vendors, and offshore resources, demonstrating strong leadership and organizational skills.
  • Proficiency with NetSuite and Microsoft Office Suite including advanced Excel skills.
  • Demonstrated experience driving process improvements, automation initiatives, and managing complex accounting projects.
  • Excellent verbal and written communication skills, capable of effectively working cross-functionally.

Responsibilities

  • Manage end-to-end cash processes including forecasting, payment initiation and approval, and overall treasury management.
  • Oversee Accounts Payable and Expenses, including corporate credit cards, ensuring efficiency, accuracy, and compliance.
  • Own certain month-end financial close activities such as expense trend analyses, departmental P&L reviews, and close review sessions with the Controller and CFO.
  • Coordinate closely with tax providers to ensure compliance and accuracy in financial reporting.
  • Review and prepare general ledger entries, reconciliations, and fluctuation analyses in areas including prepaid, accruals, and fixed assets.
  • Lead accounting-related projects aimed at process improvement, system implementation, and workflow automation.
  • Serve as a key people manager, mentoring and developing a high-performing team and overseeing vendor and offshore resources.
  • Responsibilities may evolve based on business needs and strategic priorities.
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