Director OF Accounting
Flatiron Energy
Director, Technical Accounting & Financial Reporting Flexible (strong preference for Denver/Boulder, New York City, or Boston) About Flatiron Energy Flatiron Energy develops, owns, and operates utility-scale standalone energy storage assets that integrate renewable energy onto the grid, replace fossil fuel plants, and increase grid reliability. Founded by a team of experienced energy storage experts and backed by financial sponsor Hull Street Energy, Flatiron has a demonstrated track record of developing critical infrastructure needed to achieve our climate goals. The leadership team has deep experience in structuring, financing, and owning and operating energy storage assets in wholesale markets. Flatiron Energy is a high growth company with a dynamic, fast-paced, creative, and fun start-up culture. The right candidate will be excited to help scale the company, recognizing the challenges and opportunities for growth inherent in such an environment. The Flatiron team is passionate about fighting climate change while ensuring their projects have an equitable impact on surrounding communities. Flatiron is looking for candidates who resonate with this mission. As a Director on the Accounting Team, you will help in-house Technical Accounting sophistication and scale the Company’s Financial Reporting capabilities. This is an excellent opportunity to both build and execute on behalf of a growing IPP, while growing professionally within a dynamic team. Key Responsibilities Own the preparation of Quarterly and Annual Financial Statements, both consolidated and project-level Both manage outside consultants and prepare in-house analysis for various Technical Accounting topics, including (but not limited to) leases, revenue recognition, M&A transactions, financings, HLBV accounting, VIE analysis, and capitalization. Serve as a Subject Matter Expert in the ongoing evolution of key accounting systems, especially around Consolidation topics Manage several project-level annual audits as required Serve as an interface between the Company and investors/lenders as it relates to financial reporting requirements and compliance Maintain knowledge of changing requirements under GAAP and implement these changes to the company’s accounting policies Enhance existing accounting control processes and assist in the creation of new controls as the Company continues growing Support the Capital Markets, Development, Commercial, and Operations functions in understanding accounting implications of contract or financial structures Work on special projects as necessary, including (but not limited to) HLBV accounting implementation, purchase accounting, and ITC accounting. Key Qualifications Bachelor's degree in Accounting, Finance, or a related field required 7-10 years of progressive audit, financial reporting, or technical accounting experience required CPA designation required, with preference for candidates with Big 4 or national accounting firm experience Qualified candidates will have experience in Renewable Energy, Traditional Power, or Infrastructure development, with some experience with renewable energy financing structures. Strong attention to detail and excellent organization abilities Ability to manage multiple complex processes or long-term projects simultaneously Experience managing and developing employees is preferred Excellent communication and presentation skills with experience presenting to management or external capital providers Experience with Sage Intacct considered a positive for candidates Fluency in Microsoft Office suite (Outlook, Excel, Word, PowerPoint, etc.). Compensation and Benefits Job Type: Permanent, Full-time. Ability to work in the United States is a requirement. Salary: Competitive base salary commensurate with experience Bonus: Competitive bonus based on performance Benefits: Flatiron offers an excellent benefit package with comprehensive health care, dental, vision, 401(k) plan with company match, and other health and wellness benefits. #J-18808-Ljbffr
$135k - $170k
...Description Director of Accounting (In-Office) (On-Site) Denver, Colorado (On-Site) Overland Park, Kansas 4 days in office/ 1 day work from home KC or Denver Cherry Creek Family Offices Cherry Creek Family Offices (CCFO) is an independent investment advisor and full-service...SuggestedWork at officeWork from home- ...United States Digital Space LLC in Denver is seeking a Director, Assistant Controller to lead a 10-person accounting team, own the close, financial reporting, and technical accounting—partnering with FP&A, Tax, Corp Dev, and Legal. The ideal candidate brings public-company...SuggestedWork at office
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...Hall & Evans, LLC, one of Denver's most established defense law firms has a full-time opening for a Director of Finance and Accounting in our Downtown Denver office. This position will work in the Accounting Department under the supervision of the Chief Operations and...SuggestedFull timeCasual workWork at officeLocal area$55 - $80 per hour
...CLA (CliftonLarsonAllen) is hiring Accounting Consultants (Engagement Directors) for Client Accounting and Advisory Services, offering customized accounting support. The role requires 10 years of relevant experience in public accounting, with opportunities to select engagements...SuggestedFlexible hours- ...A rapidly scaling, vertically integrated behind-the-meter natural gas data center developer is seeking a Director of Accounting to own the accounting function for its data center campus assets. This is a foundational hire responsible for building property-level, construction...Suggested
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...and well-rounded individuals to join our global team. Located in our Denver, Co or Rochester Hills, MI office, you will be Director of Accounting, Americas, reporting to the Vice President, Americas CFO. This role has responsibility for the endtoend financial close for...Full timeWork at officeImmediate startFlexible hours- Gen II Fund Services, LLC is a premier PE fund administrator seeking a Director of Fund Accounting to lead multiple sponsor engagements. You will guide daily accounting, capital calls, distributions, and waterfall calculations while mentoring staff and ensuring high-quality...
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...CommunicationsExperience supporting workshops, large meetings, or presentations to senior leaders The wage range for this role takes into account the wide range of factors that are considered in making compensation decisions including but not limited to skill sets; experience...Work experience placementLocal area$136k - $180k
Job FamilyFinance - GeneralAbout Us At Transamerica, hard work, innovative thinking, and personal accountability are qualities we honor and reward. We understand the potential of leveraging the talents of a diverse workforce. We embrace an environment where employees enjoy...Full timeContract workRemote workWorldwide$81k - $101k
...treasury operations, including cash positioning, cash forecasting, liquidity monitoring, and payments. Assist with managing bank accounts, wire activity, account maintenance, banking documentation, and related operational requirements. Prepare recurring and ad hoc treasury...Work at officeRemote work$120k
...preparing current day cash position and initiating required payments Monitor and report global cash balances and prepare accurate cash accounting entries Ensure adequate liquidity to meet operational needs and that cash is in the rights place to support the business Lead...Full timeTemporary workFlexible hours- ...liquidity reporting Prepare short- and long-term cash flow forecasts Monitor and analyze cash balances across multiple bank accounts Support working capital management initiatives Assist with debt compliance, covenant reporting, and lender requests Perform...Hourly payContract workTemporary workImmediate start
$90k - $110k
...positioning of global cash balances and the seamless execution of high-value transactions Key internal contacts: Finance, Tax, Legal, Accounting, AP, Business Development, Digital Infrastructure Development Team, and Senior / Executive Management What You’ll Bring to the...Temporary work- ...Develop knowledge of the overall Treasury operations relating to cash, credit lines and Treasury systems. Be proficient at bank account and general ledger reconciliations. Develop a strong working relationship with outside banking partners. Develop a strong working...
$66.7k - $79k
...foreign currency and interest rate derivatives. Responsible month end settlement processes and Treasury reporting system loading into accounting systems. This role will be responsible for maintaining the global capital equipment program (invoice, payment and FX). The role...Contract workWork experience placementLocal areaWorldwideVisa sponsorshipWork visa3 days per week$65k - $85k
...daily cash positioning, monitoring the supply and movement of cash, reconciling bank fees, and ensuring accurate maintenance of bank accounts Manage treasury operations within current TMS and play a key role in system optimization and evaluation Build out the...Temporary workWork experience placementWork at officeFlexible hours- ...Position Overview Peak Beverage is seeking a highly relationship-driven and commercially minded Director of Strategic Accounts & Partnerships to oversee our most valuable client, venue, planner, and corporate relationships. This role serves as the steward of Peak...Ongoing contractContract work
$124k - $335k
...knowledge and industry trends- Provide strategic input into the firm’s business strategiesWhat You Must Have- Bachelor's Degree in Accounting- 5 years of experience- CPA, Member of the Bar or other tax, technology, or finance-specific credentials may qualify for this...Full timeH1b$625 per month
...As part of Intersect's Corporate Finance team, you'll manage daily cash positioning, liquidity tracking, payment processing, and accounts payable operations to support our growing clean energy asset portfolio. You'll drive operational precision across bank portals, treasury...Temporary workWork at officeLocal areaHome officeFlexible hours$86k - $94k
...00-$94,000 annually Location CO Corporate Office Street Address Worker Category POSITION TITLE: Treasury Analyst REPORTS TO: SVP Accounting DIRECT REPORTS: N/A COMPE NSATION : $86,200-$94,800 BONUS ELIGIBILITY: N/A JOIN OUR TEAM At VASA Fitness, we want to create an uplifting...Temporary workWork at officeFlexible hoursShift work- ...Oversee risk and financial performance of engagements including billing, collections, and project budgets Advise clients and be accountable for delivering high quality tax service and advice Participate in and contribute to market and business activities external to...Full timeLocal area
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- Sunflower Bank, N.A. seeks a Treasury Management Operations Specialist (Client Support) to deliver outstanding service to TM clients via phone and email, resolving issues and handling service requests with accuracy and timeliness. The role is full-time, 40 hours weekly...Full time
$82k - $109k
...Treasury, Capital Management and Asset Liability Management About Us At Transamerica, hard work, innovative thinking, and personal accountability are qualities we honor and reward. We understand the potential of leveraging the talents of a diverse workforce. We embrace an...Temporary workWork at officeRemote workWorldwide- Charles Schwab is seeking a Manager to join their Balance Sheet Strategy team in Lone Tree, Colorado. This role focuses on executing derivatives and BDAs to hedge interest rate risk and manage fixed-income portfolios. Candidates should possess a Bachelor's degree in Finance...
- ...Our client, a nationwide real estate developer, is hiring for a Senior Treasury Analyst for their corporate accounting team. This is a path the Treasury Manager and will oversee the companies treasury function that include hands on ACH payments, wire transfers, manage...Work at office3 days per week
- ...Tableau, PowerBI, Alteryx) Mastery of Microsoft Office Products, advanced Excel and PowerPoint skills Advanced knowledge of accounting and finance, specifically the relationships between financial statements You have a passion for developing and maintaining...Interim roleWork at office
- ...for both regulatory and management requirements. Partner with business units, Corporate FP&A, Actuarial, Risk, Treasury, Tax, and Accounting to ensure capital forecasts and reporting are aligned and well supported. Engage in large cross‑functional initiatives, with...
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