We know why you are reading about this opportunity. You are driven to achieve goals. You are looking to make a direct impact. You want to work in a culture where your co-workers work as part of a diverse team, communicate across departments, and have a positive attitude. If we had to guess, you are innovative with great ideas, want to bring efficiencies to processes, and are looking to grow your career. Are we right? If so, let’s talk about who we are.
Who We Are
Greenphire is a leading provider of clinical payment and communication solutions. We provide software as a service (SaaS) to reduce costs, increase participant retention, and produce quantifiable results for our clients in the clinical trial industry. Our vibrant culture focuses on four key values: All In, As a Team, For a Purpose, Solving Problems.We are a multi-year recipient of the Philadelphia Business Journal’s Best Places to Work award, and love to give shout-outs and awards to our employees.
Our For A Purpose committee champions philanthropic activities throughout the year so employees can give back to our community. We have a diversity committee that focuses on breaking down barriers, recognizing that our uniqueness is what makes us so successful!
The Treasury Accountant plays a key role within Greenphire’s Accounting department. The Treasury Accountant is responsible for bank account reconciliations, supporting card liquidations, payment failure processes, monthly, quarterly, and year-end financial close cycles and provides support for audit requests.
Responsibilities
- Record daily bank activity into NetSuite and produce bank account reconciliations
- Support the card liquidation process
- Support the payment failure process
- Support monthly, quarterly, and year-end financial close cycles including recording journal entries
- Provide support for audit requests from external and internal auditors
- Maintain daily procedures for assigned duties
- Assist with the card reconciliation process
- Assist with the cash management activities
- Assist with escrow reconciliations
- Special projects and other ad-hoc duties as assigned
- Build consensus, collaborate, and support team members departmentally and across the organization
- Drive efficiency and bring issues to light quickly with effective communication
Qualifications
- Bachelor’s Degree in Accounting and relevant work experience
- Previous accounting experience required (minimum 2 years)
- Advanced knowledge of Microsoft Excel
- Exceptional communication, time management, organizational skills, attention to detail, and the ability to multitask in a fast paced team oriented environment
- NetSuite experience preferred but not required