This team member will be involved in the accounting for various product lines (VSC, GAP, credit, ancillary, etc), coordinate the preparation of journal entries, accruals, and reconciliations related to APD programs and entities, and assist in audit inquiries of the accounting programs and entities being managed.
Job listings
Help the world agree faster by joining Juro as an Accountant. In this role, you will be part of a journey where you're a qualified accountant (ACA/ACCA), trained at a top firm with excellent academics. Youβve worked in a scaling SaaS business, with hands-on ownership of core finance operations. Youβve worked with non-finance teams and can balance accuracy with commercial context.
Lead nonprofit client engagements, offering guidance on financial reporting, compliance, and industry best practices. Manage and review monthly financial statements, budgets, and audits for nonprofit clients. Oversee grant accounting processes, including fund tracking, reporting, and compliance with grantor requirements. Utilize financial software to maintain accurate and timely records. Mentor and manage junior staff, providing training and performance feedback.
The Accounting Manager will develop and execute our financial statement accounting policies and process controls so that the company can meet its financial reporting obligations and timelines. This role will oversee consolidated financial reporting, statutory compliance, balance sheet integrity, and internal controls while driving continuous improvement in systems and processes.
As a Controller at Swan Bitcoin, you will play a pivotal role in managing various aspects of financial operations and the financial close and reporting of our organization. The ideal candidate should have a proven track record of at least 5-10 years of hands-on experience in accounting and/or audit in a public company setting. This position requires strong analytical skills, attention to detail, and the ability to provide strategic financial guidance to support business objectives.
The Accounting Associate is a level-one accounting role designed to introduce team members to the non-profit and charter school accounting field. Depending on training, experience and knowledge level, the areas of responsibility include recording financial transactions, cash maintenance, participating in month-end close and providing accounts payable support as needed.
The Senior Manager will lead a team responsible for external financial reporting and certain key accounting issues, including preparing US GAAP financials for Form 20-F and 6-K filings, researching accounting matters like revenue recognition and share-based compensation, and serving as a key contact for external auditors.
This is a great opportunity to join a growing initiative as we continue to evolve and scale Juniper Squareβs fund administration service. As a Fund Accounting Manager, you will oversee deliverables focusing on fund administration services, including fund accounting and reporting, to Juniper Squareβs Private Equity / Real Estate customers. You will manage a team of Fund Accountants and help shape the trajectory of the function and deliver a best-in-class experience to our customers.
Working in the Global Controllership, you will be a primary resource in addressing and driving emerging/developing issues affecting the Companyβs technical accounting. This role will support the application of various US GAAP standards and interpretations and will ensure that we maintain symmetry in our accounting practices. This role will be responsible for supporting the overall relationship with our external auditors.
As Finance Lead, you will oversee an array of finance tasks for all entities we have operations in West and Central Africa. You will have ownership of the P&L and Balance sheet reporting of all entities within this cluster and report the results to the Group finance team. You will take ownership of local tax filing and reporting in all markets that we operate within this cluster. Your main duties will include month end reporting, reconciliation of bank accounts, engaging with accounting advisors, monitoring processes, and overseeing payroll.