Corporate Accountant
AION • Philadelphia, Pennsylvania • Full Time
Posted on Thu, Jun 18, 2026
Position Summary
We are seeking a detail-oriented and driven Corporate Accountant to join our finance team. This role will be responsible for managing corporate-level accounting activities across the parent company and its subsidiaries, including cash reconciliations, financial reporting, collaboration with treasury, and audit/review coordination. The ideal candidate will possess strong analytical skills, a solid understanding of GAAP, and the ability to work independently in a fast-paced environment while managing multiple priorities.
Key Responsibilities
Cash Management & Treasury Collaboration
- Reconcile multiple corporate cash accounts across the parent company and its subsidiaries on a timely and accurate basis.
- Monitor liquidity and cash availability across all entities and coordinate intercompany cash movements as needed.
- Partner closely with the Treasury team to facilitate and track payment processing activities.
- Assist with cash forecasting and support management's liquidity planning initiatives.
Financial Reporting & Accounting
- Prepare monthly, quarterly, and annual financial statements and reporting packages for individual subsidiaries and consolidated corporate entities.
- Maintain accurate general ledger records and ensure transactions are recorded in accordance with GAAP.
- Record and reconcile payroll journal entries and corporate credit card transactions.
- Prepare and post recurring and non-recurring journal entries, account reconciliations, and supporting schedules.
- Ensure financial records are complete, accurate, and compliant with accounting policies and procedures.
Investor & Management Reporting
- Populate and maintain investor reporting templates and supporting schedules.
- Assist in the preparation of management reports, financial analyses, and ad hoc reporting requests.
- Support executive leadership with financial data and analysis as needed.
Audit & Compliance
- Serve as a point of contact for external auditors during annual audits and periodic reviews.
- Prepare audit schedules, supporting documentation, and respond to auditor inquiries.
- Ensure financial records adhere to GAAP standards and support external auditors with requested documentation and schedules.
- Assist with implementing and maintaining internal controls and accounting policies.
Budgeting & Financial Analysis
- Collaborate with department heads to develop annual corporate budgets.
- Monitor expenditures against budget and assist in forecasting activities.
- Perform variance analysis and provide insights into significant budget-to-actual fluctuations.
- Support strategic decision-making through financial analysis and reporting.
Qualifications
- Bachelor's degree in Accounting.
- Minimum of 3 years of progressive accounting experience.
- Strong understanding of U.S. GAAP and financial reporting principles.
- Advanced proficiency in Microsoft Excel, including pivot tables, lookup functions, and data analysis.
- Excellent attention to detail and organizational skills.
- Strong verbal and written communication skills.
- Demonstrated ability to prioritize competing deadlines and work independently.
- Excellent analytical, critical thinking, and problem-solving abilities.
Preferred
- CPA designation or active pursuit of CPA certification.
- Experience with RealPage or similar property/accounting management software.
- Experience working with multi-entity organizations and consolidated financial reporting.
- Exposure to treasury operations, cash management, and intercompany accounting.
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