Senior
Aristocrat · Krakow, Poland
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Lead day to day cash accounting, bank reconciliations and intercompany billing, settlements and reconciliations.
Worth knowing: May require registration with Nevada Gaming Control Board
Join Aristocrat, a worldwide leader in gaming content and technology, on our mission to bring happiness to life through the power of play. Our team of more than 7,300 employees focuses on developing enjoyable and immersive experiences for millions of players across the globe. As a Lead Accountant – Cash & Intercompany, you will play a critical role in ensuring the accuracy, integrity, and control of our cash and intercompany accounting processes. This position offers a remarkable chance to excel in a vibrant and ambitious workplace where your efforts will be recognized. If you're prepared to compete at a world-class standard and become part of a skilled team, this is the opportunity for you! What You'll Do Lead end-to-end accounting and control for cash and intercompany processes across multiple entities and regions Oversee daily cash accounting, bank reconciliations, and cash positioning to ensure accuracy, completeness, and timeliness Manage intercompany accounting lifecycle, including billing, settlements, eliminations, and reconciliations Ensure timely and accurate month-end close activities for cash and intercompany, including journals, substantiations, and variance analysis Own and maintain balance sheet integrity for cash and intercompany accounts, resolving aged or complex reconciling items Partner with Treasury on cash management, funding, and liquidity activities to ensure alignment between accounting and operational cash movements Drive governance and rigor across intercompany processes, including agreement alignment, pricing consistency, and settlement cycles Lead intercompany netting and settlement processes, improving efficiency and reducing exposures Ensure compliance with internal controls, policies, and external reporting requirements, proactively identifying and mitigating risks Support internal and external audits, providing clear documentation and timely resolution of queries Identify and implement process improvements, including automation and standardisation across regions and systems Provide leadership and guidance to team members, building capability in cash management and intercompany accounting Deliver clear reporting and insights on cash positions, intercompany balances, and exposures to support decision-making What We're Looking For 5+ experience in financial accounting with deep exposure to cash management, bank...
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