Finance & Treasury Manager — Close, Controls & Forecasting

High Profile, Inc.

Dallas (TX)

On-site

USD 110,000 - 170,000

Full time

4 days ago
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Job summary

High Profile, Inc. in Dallas, TX is seeking an experienced accounting leader to oversee the monthly close, financial reporting across all entities, and treasury operations from the heart of the Operating Company.

You will ensure accuracy, strong controls, and compliant accounting policies while partnering with Investments, Tax, HR/Payroll, Legal, and the CFO. The role requires hands-on review of journal entries, reconciliations, and ad hoc analyses, collaborating with cross-functional teams to

Responsibilities

  • Lead monthly close & financial reporting.
  • Oversee the monthly close process and preparation/review of financial statements across all entities within the Operating Company structure.
  • Manage treasury, cash flow & transactional accounting.
  • Own treasury processes, including cash management, AP, AR collections/settlements, and related policies and controls.
  • Ensure accounting accuracy & strong controls.
  • Review journal entries, supporting documentation, reconciliations, and accounting treatment, while establishing and maintaining accounting policies and procedures.
  • Provide reporting, analysis & cross-functional partnership. Prepare ad hoc financial/management reporting and analysis and collaborate with Investments, Tax, HR/Payroll, Legal, and the CFO.
  • Analyze financial data and identify opportunities to improve processes.
  • Support budgeting, forecasting, and special financial projects
  • Partner with leadership and internal stakeholders on accounting and operational matters
  • Maintain the highest level of confidentiality and discretion

Job description

High Profile, Inc. in Dallas, TX is seeking an experienced accounting leader to oversee the monthly close, financial reporting across all entities, and treasury operations from the heart of the Operating Company.

You will ensure accuracy, strong controls, and compliant accounting policies while partnering with Investments, Tax, HR/Payroll, Legal, and the CFO. The role requires hands-on review of journal entries, reconciliations, and ad hoc analyses, collaborating with cross-functional teams to

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