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US jobs › New York › OneStream Consolidation Manager

Manager · National

OneStream Consolidation Manager

Grant Thornton · New York, New York · Hybrid

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Goes straight to the employer's own hiring page. We never sit in between.

Pay$104k to $140k a year
LevelManager · Systems / ERP
Work modeHybrid
CPA exam supportNot mentioned
CPA licenseNot mentioned
Experience5 years+
PostedOct 6, 2026
Found by usOct 8, 2026
Last checkedOct 8, 2026

Quick look

Lead and manage global financial consolidations, close and reporting processes within the OneStream platform for a multinational organization.

A few years in, CPA in progress

Worth knowing: Requires 2+ years hands on OneStream administration experience

From the posting

Company: Job title: OneStream Consolidation Manager Location: New York, NY, United States OneStream Consolidation Manager Grant Thornton is seeking a OneStream Consolidation Manager to join the team. Approved office locations can be found below. The OneStream Consolidation Manager is responsible for leading the organization's global financial consolidation, close, and reporting processes within the OneStream platform. This is a newly created role resulting from the growth of the Grant Thornton Advisory multinational platform. The position serves as the primary business owner for the OneStream consolidation application and is responsible for optimizing system functionality, maintaining financial data integrity, supporting external audit requirements, and driving process automation and standardization. Key Responsibilities Financial Consolidation & Reporting Functional business owner for the OneStream platform Oversee metadata and account structure maintenance and overall governance standards for financial master data. Lead monthly, quarterly, and annual consolidation processes within OneStream. Manage ownership structures, legal entity hierarchies, alternate hierarchies, transformation rules, consolidation rules, and reporting dimensions. Ensure accurate elimination of intercompany balances and activities Ensure accurate foreign currency translation and consolidation adjustments. Review and validate consolidated financial statements and supporting schedules. Support preparation of management, statutory, and regulatory reporting packages. Support external audits and internal control testing. Assist with acquisitions, divestitures, and legal entity restructurings affecting consolidation processes. Document and maintain financial consolidation procedures and controls. Close Process Management Coordinate monthly close activities across global finance teams with global accounting team. Monitor completion of certification and submission workflows. Identify and resolve consolidation exceptions and validation failures. Establish and monitor close-related KPIs and service-level expectations. Drive reduction in close cycle timelines through automation and process improvements.

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