Director OF Accounting
Sunnova
Brief Description of Sunnova Sunnova (NYSE: NOVA) is an industry‑leading adaptive energy services company focused on making clean energy more accessible, reliable, and affordable for homeowners and businesses. At Sunnova, we embrace diverse perspectives, vibrant creativity and forward‑thinkers who share our zeal for a sustainable future. A career with us means pushing beyond traditional limits, exploring new horizons, collaborating with like‑minded peers, and transforming the energy industry for the better. If you're excited about being a part of the fastest‑growing segment of the energy industry, we encourage you to apply! The Director, Accounting, Position Sunnova Energy is seeking an experienced and dynamic professional to serve as Director of Accounting. This strategic leadership role is responsible for overseeing complex accounting matters, implementing critical accounting standards, driving process improvements, overseeing various accounting sub‑departments and supporting key financial initiatives. Reporting directly to the CAO, the Accounting Director will collaborate closely with the senior management team. This role will play an instrumental part in special projects and strategic initiatives, working proactively to support Sunnova’s success in challenging circumstances. Director, Accounting Responsibilities Actively engage in special projects and initiatives aimed at addressing strategic business challenges, including those related to Sunnova’s ongoing going concern considerations. Supervise and lead various accounting sub‑departments as determined by the CAO which includes all Controller type functions for the respective department. Supervise, mentor, and develop staff, fostering a culture of accountability, continuous improvement, and technical excellence. Serve as a critical liaison to external auditors, ensuring timely completion of audits and financial reporting obligations. Proactively research emerging accounting standards and evaluate their implications, communicating clearly to senior leadership and recommending strategic approaches. Lead and assist with the monthly, quarterly, and annual accounting close processes. Partner closely with internal departments (e.g., FP&A, Legal, Operations) to streamline processes and ensure accurate financial reporting. Minimum Requirements Master’s degree preferred with a concentration in accounting 10+ years’ accounting experience or exceptionally strong experience CPA Big Four Public accounting experience Preferred Qualifications Previous leadership or supervisory experience Experience managing accounting functions during financial restructuring or challenging financial situations Proficient in Salesforce and FinancialForce Additional Knowledge, Skills and Abilities Exceptional knowledge of U.S. GAAP, SEC reporting requirements, and internal controls Strategic thinker with strong analytical and problem‑solving capabilities Proven ability to manage multiple complex projects effectively and simultaneously Excellent verbal and written communication skills, capable of clearly communicating complex financial concepts to diverse stakeholders, including senior executives and external auditors Adaptable, proactive, and self‑driven professional comfortable working in dynamic environments Working Conditions Open‑office environment Overtime required Benefits Sunnova offers a generous employee reward package that includes: Comprehensive benefits, including medical, dental, vision, life insurance, healthcare flexible spending account, and 401(k) with employer Competitive compensation & annual bonus Paid time off, including 10 holidays and Paid Parental Leave Cell phone allowance for many roles Free access to onsite fitness center in Houston and/or discounted fitness memberships through health provider Complimentary garage parking in Houston All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity, or national origin. CCPA disclosure notice. #J-18808-Ljbffr
$85k - $125k
...sufficient liquidity to meet the firm’s operational needs. Process and approve banking transactions, including wires, ACH payments, and account transfers, while maintaining complete backup documentation to support audit requirements. Manage banking relationships to ensure...SuggestedFull timeContract workTemporary workWork at officeRemote workShift work- ...and is positioned along the Gulf Coast providing training, occupational medicine, and innovative solutions to industry. The Director of Account Management is a strategic commercial leader responsible for guiding and developing the Account Management team to strengthen...SuggestedContract workFor contractorsWork at officeNight shift
$150k - $200k
...Director of Property & Project Accounting | Hybrid | $150,000 to $200,000 + Bonus We're partnering with a real estate organization seeking a Director of Property & Project Accounting to lead a high-performing accounting team supporting a portfolio of commercial real estate...Suggested- ...0% of the Nasdaq‑100 Index among its clients. Position Overview Legence is seeking an experienced and highly technical Director of Revenue Accounting to join our Corporate Finance team. This role will enhance the design, SOX implementation, and governance of the Company...SuggestedContract workWork at officeLocal areaImmediate startFlexible hours
- ...Lead Modern Disbursement Operations Oversee all accounts payable and disbursement activities, ensuring timely, accurate, and policy-compliant vendor payments Maintain strong governance of vendor master data, including onboarding, maintenance, and data integrity...SuggestedFull timeLocal areaShift work
$200k - $250k
...role that will oversee financial reporting, cost and inventory accounting, ERP optimization, and process improvement as the company... ...or optimizing ERP systems ~ Prior experience as Controller, Director of Finance, or similar hands‑on finance leadership role ~ Proven...Work experience placementLocal area- ...We are seeking a Treasury Analyst to join a collaborative corporate accounting and finance team. This role plays a key part in managing daily cash activity, treasury operations, debt compliance, and investor‑related reporting for a growing energy‑focused organization....Full timeTemporary workWork at office
- ...exclusive features. We’re seeking a Sr. Analyst – Treasury on behalf of one of our clients. In this role, you’ll manage global bank account administration, cash management, month-end closing, financial reporting, and support ERP Treasury system setup. You’ll also perform...16 hoursFull time
- ...Forecast endowment trends and allocation of endowment earnings. Support the implementation, management, and administration of bank accounts, credit facilities including University's credit cards, online banking platforms, authorized signatory records, and other...Temporary workBank staff
- ...affiliates Maintain vendor, counterparty, and settlement data in Treasury systems Bank & Cash Operations Administer intercompany current accounts and intercompany settlements Perform daily cash reconciliations and ensure system accuracy Support regional cash management teams...
- ...processing payments, and ensuring the accuracy of financial data. The ideal candidate demonstrates a solid understanding of basic accounting principles, attention to detail, and the ability to prioritize tasks in a fast‑paced environment. Responsibilities Perform daily...Work at office
- ...budget-related cash planning, budget versus actual analysis, and month-end treasury reporting. You will work closely with Finance, Accounting, Tax, Legal, HR, and business leaders across multiple regions to support the company’s growth strategy and international...Temporary workWork experience placement
- ...reporting. Maintain banking relationships and coordinate communications with financial institutions. Support treasury projects, bank account management, and financial analysis initiatives. Ensure compliance with SOX requirements, internal controls, and company policies....
- ...environment. Responsibilities Cash Management Work closely with the Director, Assistant Treasurer to ensure liquidity and funding... ...issues to ensure resolution Banking Administration Maintain bank account documentation, authorized signatory records and legal documentation...Temporary workWork at officeFlexible hours
- ...support daily treasury operations, including cash management and financial reporting. The analyst will partner closely with finance, accounting, and banking partners to ensure effective cash operations and maintain strong internal controls. The ideal candidate should...
- ...Description Summary: The Accounting Manager oversees and manages the accounting functions within the Congregation’s Finance Office, including financial statements, general ledger, payroll, accounts payable, accounts receivable, budgeting, and taxes. The Accounting...Full timeWork at officeMonday to Friday
- ...identification of client needs. Builds relationships with internal business partners and key client decision makers and completes account/portfolio business reviews. Ensures service and fulfilment related requests/queries are directed to the relevant teams accordingly,...Work experience placementBank staffWork at officeShift workDay shift
- ...Client Relationship Leader in Houston, Texas. This pivotal role involves managing relationships with key clients, defining global account strategies, and driving long-term growth. The ideal candidate will possess over 10 years of experience in global account management...
- ...report filings. Act as liaison to other departments on treasury and banking inquiries; daily contact with banks, business units, accounts payable and accounting staff. Manage short-term investments, ensuring compliance with corporate investment policy. Maintain banking...Temporary workWork at officeShift work
- ...including cash management, liquidity planning, financial reporting, and banking activities. This role partners closely with Finance, Accounting, banking partners, and internal stakeholders to ensure effective cash operations, maintain strong internal controls, and support...Temporary work
$40 - $45 per hour
...business operations Prepare and maintain treasury reports, dashboards, and manual reporting packages for leadership review Support bank account administration, including account openings/closures, signer maintenance, and banking documentation Partner with internal...Permanent employmentContract work$42 per hour
...bank invoices and internal schedules/calculations/systems, including floating rate settings. Requirements: Bachelor's Degree in Accounting, Finance, or a related field. 2+ years of experience in Corporate Treasury, Treasury Operations, or Capital Markets. Experience with...Contract work$60k - $70k
...responsibilities, including forecasting, budgeting and month-end close. The ideal candidate has 1–2 years of treasury or FP&A experience and a 4-year degree in Accounting or Finance, with advanced Excel skills. Salary range is $60–70K plus outstanding benefits. #J-18808-Ljbffr...Work at officeRemote work- ...Hanwha Energy USA in Houston, TX is seeking a Senior Treasury Associate to support cash management, monthly treasury accounting, cash flow forecasting, and financing activities. You will help manage LC, bank relationships, and audits while ensuring accuracy and timely...
- ...collaboration with auditors. The ideal candidate will have over 5 years of experience in fund administration and a Bachelor’s degree in Accounting or Finance. Benefits include flexible paid time off, a hybrid work schedule, 401(K) matching, and health benefits. Join us to...Flexible hours
- Vantage Bank in Houston, TX is seeking a Treasury Management Support Associate to assist Sales Officers, Relationship Managers, and Retail Banking teams in delivering Treasury Management solutions to commercial clients and prospects. You will help with sales support, onboarding...
- Creative Financial Staffing, LLC is partnering with a leading energy industry organization to hire a Treasury Analyst in Houston. The role offers exposure to global treasury operations, banking relationships, foreign currency management and strategic financial reporting...
- ...activities, and supporting capital processes across multiple entities. What You’ll Do: Monitor daily cash positions and manage 25+ bank accounts Draft and track debt notices, interest calculations, and bank certifications Manage wire transfers and general ledger postings...Full timeWork at office
- ...and reporting, interfacing with internal customers and external banking partners. You will work on cash positioning, in-house bank operations, treasury systems, KPIs, and process improvements while collaborating with Accounting, FP&A, Tax and Legal. #J-18808-Ljbffr...
- ...monitoring investment programs, and forecasting cash flows. A minimum of an associate's degree in Business Administration, Finance, or Accounting, along with four years of related experience, is required. Employees will enjoy comprehensive benefits including 100% paid...Full time
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