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Avid makes technology and collaborative tools so creators can entertain, inform, educate and enlighten the world. Our customers are the visionaries behind the most inspiring feature films, television programs, news broadcasts, televised sporting events, music recording and live concerts.
To learn how Avid powers greater creators or for more information, visit www.avid.com.
ABOUT THE ROLE
The Accounting & Treasury Manager is responsible for overseeing core accounting operations and global treasury functions to ensure the company’s financial integrity, liquidity, and compliance. This role leads general accounting activities (GL, AR/AP, revenue, and reporting) while also managing cash flow, banking relationships, and financial risk.
The position partners closely with Finance, FP&A, and senior leadership to support strategic decision-making, optimize working capital, and maintain strong internal controls in a fast-paced, growth-oriented environment.
WHAT YOU WILL DO:
Accounting Operations
Manage the development, implementation, and maintenance of accounting systems, including:
General Ledger
Accounts Receivable / Accounts Payable
Journal entries and reconciliations
Revenue recognition and cash flow reporting
Ensure accurate and timely month-end, quarter-end, and year-end closes in accordance with GAAP
Design and implement accounting policies, procedures, and internal controls to meet audit standards and improve efficiency
Oversee the preparation and analysis of financial reports and accounting data
Support annual audits and coordinate with external auditors and consultants
Ensure proper documentation and recordkeeping for compliance and historical purposes
Treasury & Cash Management
Support global cash flow forecasting (short- and long-term), with a focus on liquidity and working capital optimization
Manage daily cash positioning, banking activity, and fund transfers across domestic and international accounts
Monitor global cash balances and recommend strategies for effective capital deployment through close collaboration with Finance leadership
Oversee bank account administration, including signatories, controls, and platform access
Ensure timely and accurate bank reconciliations in coordination with Accounting team
Debt, Risk & Compliance
Support monitoring of compliance with debt agreements, including covenant tracking and lender reporting
Manage debt-related transactions (interest, principal, fees)
Ensure compliance with SOX and internal control frameworks
Identify and manage financial risks, including foreign exchange exposure and counterparty risk
Continuously enhance processes, controls, and treasury systems/tools
Process Improvement & Systems
Evaluate and improve accounting and treasury systems, automation, and workflows
Drive process efficiencies and data integration across financial platforms
Recommend and implement enhancements to improve reporting accuracy and operational effectiveness
Leadership & Collaboration
Lead, coach, and develop accounting and/or treasury team members
Establish performance goals and ensure alignment with company objectives
Collaborate cross-functionally with FP&A, Tax, Legal, and business leaders
Provide insights to leadership on liquidity, financial performance, and risk considerations
Serve as a key advisor on financial operations and process improvements
WHAT YOU WILL DELIVER:
Bachelor’s degree in Accounting, Finance, or related field
CPA, MBA, or CTP preferred
8+ years of progressive experience in accounting and/or treasury
Strong knowledge of GAAP, cash management, and financial controls
Experience with global treasury operations, banking, and cash forecasting
Familiarity with ERP and treasury systems (e.g., Netsuite, Kyriba, or similar)
Advanced Excel and financial modeling skills
Skills & Competencies
Strong analytical and problem-solving abilities
High attention to detail and accuracy
Ability to manage competing priorities in a fast-paced environment
Excellent leadership and stakeholder management skills
Strong communication and cross-functional collaboration skills
Scope & Impact
Operates with broad autonomy to achieve functional objectives
Responsible for ensuring accuracy of financial reporting and effective liquidity management
Decisions impact operational efficiency, financial risk exposure, and short-term business performance
May manage a team or function, including staffing, performance management, and budgeting
WHY THIS ROLE MATTERS
This hybrid role of Accounting and Treasury bridges accounting integrity and cash strategy, ensuring both accurate financial reporting and strong liquidity management—critical for scaling organizations, especially in fast-growth or PE-backed environments.
What to look forward to?
Join a global team and experience a dynamic, collaborative work environment that fosters innovation and growth.
Remote work model offering flexibility to balance work and life.
Access to development programs with strong support and mentoring to help you grow and advance within the company.
Equal opportunity employer committed to diversity, inclusivity, and creating a welcoming environment for all employees.
Attractive benefits package including health & life insurance, referral rewards, and generous leave policies to ensure a healthy work-life balance
Salary Ranges: MIN $85, 440.00 to MAX $128, 160.00 USD/Annual
The salary range shown reflects the company's good faith full target range for this position at the time of posting. The company may update or modify this range at any time and endeavors to keep this posting current. Compensation decisions are based on factors including geographic location, experience, skills, education, and business needs. While the full range is posted for transparency, offers are typically made within the lower to middle portion of the range.
Avid is an equal opportunity employer. We celebrate diversity and are committed to creating an inclusive environment for all employees.
#LI - Remote #LI-NR1
If you like wild growth and working with happy, enthusiastic over-achievers, you'll enjoy your career with us!
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