$55,000 a year 17 hours ago Benefits Health savings account Health insurance Dental insurance 401(k) Flexible spending account Paid time off Parental leave Employee assistance program Vision insurance 401(k) matching Life insurance Referral program Qualifications Financial close processing Microsoft Excel Treasury operations SAP Bachelor's degree GAAP Forecasting Excel data analysis Full Job Description Accountant•Treasury, Reporting & Tax Job Description Industrial Networking Solutions is seeking a high-performing Accountant to own Treasury operations, support executive financial reporting, and manage tax compliance coordination.
This role is responsible for maintaining cash visibility, ensuring strong internal controls over bank activity, and coordinating with external tax advisors for sales tax and corporate tax matters. This position reports directly to the Director, Finance & Accounting and is designed for a detail-oriented, analytical professional who operates with a strong ownership mindset.
Duties & Responsibilities:
Treasury Operations & Cash Visibility
Perform and review monthly bank reconciliations for all accounts
Ensure reconciliations are completed accurately and timely
Maintain clear documentation of reconciling items and resolve exceptions promptly
Prepare and maintain weekly cash flow forecasts
Analyze cash inflows/outflows and identify trends
Assist in maintaining banking relationships and documentation Financial Reporting & Close Support
Support the monthly close process with assigned journal entries and reconciliations
Assist supervisor in preparing and updating the monthly financial reporting package
Ensure accuracy and consistency of financial data across reports
Coordinate with external tax firm on quarterly estimated tax distributions
Prepare and provide required financial information to tax advisors
Track distribution calculations and ensure timely payment execution
Maintain a rolling tax calendar to prevent missed deadlines
Support annual tax return preparation and documentation Controls & Audit Support
Maintain strong internal controls over cash and tax-related processes
Support audit requests related to treasury and tax accounts
Ensure reconciliations and supporting schedules are audit-ready
Identify control gaps and recommend improvements What Success Looks Like For This Role
Bank accounts reconciled cleanly and on time with no stale reconciling items
Cash forecasts that are reliable and actionable
Zero penalties, missed filings, or tax surprises
Strong documentation and audit readiness
Required Qualifications:
Education:
Bachelor's degree in
Accounting or Finance Experience:
2+ years of progressive accounting experience
Experience with bank reconciliations and cash management
Experience supporting monthly financial reporting
Strong understanding of GAAP
Advanced Excel proficiency
Preferred Qualifications:
Experience coordinating with external tax advisors
Experience in multi-entity or high-volume environments
ERP experience (NetSuite, SAP, Dynamics, or similar)
Exposure to audit environments
Physical & Environmental Requirements:
Role is performed in both office and hybrid work environments
Must be able to sit and use a computer for extended periods
Standard business office setting
Location:
INS HQ
Richardson, TX (Dallas-Fort Worth Metro Area) Candidate must reside in or be willing to relocate to the DFW area.
No relocation assistance provided.
EEO Statement:
Industrial Networking Solutions (INS) is proud to be an Equal Opportunity Employer. We are committed to creating an inclusive environment for all employees. We maintain a drug-free workplace and conduct pre-employment substance abuse testing and criminal background checks.
Pay:
$50,000.00
$55,000.
00 per year
Benefits:
401(k) 401(k) matching Dental insurance Employee assistance program Flexible spending account Health insurance Health savings account Life insurance Paid time off Parental leave Referral program Vision insurance