AV

Intercompany & Treasury Accounting Lead

Avalara Technologies
Pune4-8 LPA Posted 5 May 2025
FULL TIME
Treasury Management
Cash Flow Forecasting
Process Automation

Job Description

  • Intercompany responsibilities:
  • You will review and oversee intercompany transactions between entities, ensuring accuracy and compliance with internal policies and global regulations
  • You will collaborate with Tax, Legal, and Treasury teams on multiple intercompany transactions including capital funding, loan arrangements, IP transfers, cost plus and transfer pricing arrangements
  • You will collaborate with Tax on intercompany pricing policies and agreements
  • You will coordinate with global subsidiaries to resolve intercompany discrepancies and ensure reconciliations
  • You are responsible for intercompany invoicing and settlement processes in compliance with internal policies and global regulations
  • Collaborate with internal and external auditors on intercompany audits
  • Review monthly intercompany reconciliations for balance sheet accounts and manages action plans to resolve discrepancies and ensures financial reporting integrity

Treasury responsibilities:

  • Prepare and distribute daily cash position reports within Kyriba Treasury Management System, ensuring accuracy of cash balances across all bank accounts
  • Analyse daily bank activity and cash flow forecasts to support short-term liquidity planning
  • Prepare and execute weekly payment runs, ensuring proper approvals and disbursement of funds observing internal controls
  • Collaborate with Accounts Payable and other departments to coordinate payment timing and accuracy
  • Oversee and review bank account reconciliations within Kyriba, ensuring resolution of reconciling items
  • Ensure accuracy of journal entries related to cash transactions and provide final approval for posting
  • Review existing desktop procedures, and develop and document new business processes

What Youll Need to be Successful

  • Chartered Accountant or MBA.
  • Ideal background from SaaS industry
  • You should have 8+ years of intermediate accounting experience, public accounting experience preferred.
  • Experience with Kyriba Treasury Management System (TMS) implementation, configuration, and administration.
  • Proficient analysing data in Microsoft Excel.
  • Experience with NetSuite (preferred) or other large ERP systems such as Oracle or SAP.
  • Hands-on knowledge in using Alteryx and PowerBI, or similar, and experience driving process automation#LI-Onsite

Join WhatsApp Channel