• Own the month-end close, including journal entries, account reconciliations, flux analysis, and supporting schedules
• Own accounts payable, employee reimbursements, and corporate card programs, ensuring accurate coding and timely month-end accruals
• Prepare and maintain balance sheet reconciliations with clear supporting documentation
• Partner with the Controller to continuously improve and automate the month-end close by identifying bottlenecks and designing AI-powered workflows that increase accuracy, efficiency, and scalability.
• Evaluate emerging AI, automation, and Finance technology solutions, recommend improvements, and lead implementation where appropriate
• Work cross-functionally with Engineering and other teams to identify automation opportunities, connect systems, and eliminate manual processes across Finance.
• Support budgeting, forecasting, reporting, and ad hoc projects as needed
• Support audit readiness by preparing audit schedules, maintaining documentation, coordinating auditor requests, and helping ensure ongoing compliance.
• Take ownership of ad hoc special projects that improve how Finance operates