Staff Accountant, Treasury

Job not on LinkedIn

Yesterday

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Logo of hims & hers

hims & hers

Healthcare Insurance • eCommerce • Wellness

Hims & Hers is an online platform with over 1 million subscribers that connects patients to licensed healthcare professionals across all 50 states in the U. S. The service offers comprehensive support for sexual health, weight loss, hair regrowth, mental health, and skincare through a 100% online process. Clients can receive personalized treatment plans which may include prescription medications, and benefit from free and discreet shipping. Hims & Hers prides itself on providing accessible and affordable healthcare without the need for insurance, offering transparent pricing and support from licensed providers. It aims to empower individuals by making healthcare and treatment conveniently available on their own terms, including mental health support, which includes treatments for anxiety and depression.

201 - 500 employees

Founded 2017

⚕️ Healthcare Insurance

🛍️ eCommerce

🧘 Wellness

📋 Description

• Manage global cash operations by posting and reconciling daily cash transactions across multiple bank accounts and entities. • Establish and maintain auto-posting rules within the NetSuite cash management module to streamline daily entries and reduce manual intervention. • Prepare domestic and international wire payments and other treasury-related transactions accurately and timely. • Support month-end and quarter-end close by preparing, reviewing, and reconciling cash-related journal entries, ensuring completeness and accuracy. • Review and oversee work performed by offshore accounting teams, providing constructive feedback, documentation updates, and training as needed. • Monitor daily bank activities to identify unusual transactions or variances and escalate issues promptly to management. • Maintain SOX compliance and uphold internal controls in alignment with company policies, accounting standards, and audit requirements. • Assist in automation and process improvement initiatives to enhance efficiency, scalability, and data integrity in treasury workflows. • Analyze and interpret treasury-related financial data to provide management insights and support decision-making. • Contribute to system implementations and enhancements impacting Treasury function. • Support internal and external audit requests by preparing schedules, providing documentation, and explaining cash-related accounting treatment. • Respond to ad-hoc requests and special projects, maintaining agility and collaboration across departments.

🎯 Requirements

• Bachelor’s degree (BA or BS) in Accounting, Business Administration, or Economics from a top-ranking university required. • 2-4 years of progressive accounting experience, with exposure to treasury and cash management preferred. • CPA certification or active progress toward it is preferred. • Experience with ERP systems (NetSuite preferred). • International treasury management experience preferred. • Advanced Excel skills and strong analytical ability to interpret and communicate financial data. • Exceptional attention to detail, organization, and time management in a fast-paced environment. • Strong written and verbal communication skills with the ability to collaborate effectively across teams. • Demonstrated ability to identify and implement process improvements. • Team-oriented mindset with flexibility to work effectively in both in-person and remote settings.

🏖️ Benefits

• Competitive salary & equity compensation for full-time roles • Unlimited PTO, company holidays, and quarterly mental health days • Comprehensive health benefits including medical, dental & vision, and parental leave • Employee Stock Purchase Program (ESPP) • 401k benefits with employer matching contribution • Offsite team retreats

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