Accounting Manager - Technical Accounting
@ Terawatt InfrastructureAccounting Manager - Technical Accounting
This job is still taking applications, but it's been up a while.
About the job
Terawatt Infrastructure leads in turnkey EV charging solutions, developing, financing, and operating sustainable transport and energy infrastructure across the US.
Requirements
- Active CPA designation
- 5+ years post-designation experience
- US GAAP knowledge
- Experience in financial reporting
- Cash management skills
Qualifications
- Bachelor’s degree in Finance or Accounting
- Strong data integrity focus
- Ability to work independently
- Experience with SOX
- Collaborative mindset
Full job description
Role Description
One of Terawatt's Core Values is to “Own the Outcome”. As an Accounting Manager, you will be a key contributor within Terawatt’s finance department as we scale. The core focus of this role is external consolidated financial reporting; candidates with deep technical reporting expertise are strongly encouraged to apply, with structured coaching and development provided on the treasury side.
Reporting directly to the VP Controller, this position requires the ability to navigate a fast-moving scale-up environment with an agile, solutions-oriented mindset, comfort with ambiguity, and rapid project pivots across a dynamic capital structure. This is an opportunity to contribute meaningfully to Terawatt's growth in the clean energy transition.
Core Responsibilities
Own preparation of monthly, quarterly, and annual corporate and consolidated reporting packages for multiple entities - including Balance Sheet, Profit and Loss, Statement of Equity, Segmented Reporting, Annual Financial Statement of Notes, and Management’s Discussion and Analysis, with a strong commitment to data integrity and reporting accuracy
Manage end-to-end preparation of audit packages and serve as the primary liaison for external auditors.
Conduct accounting policy research and author policy memos for complex transactions.
Build and maintain a SOX-standard control matrix and embed best practices into the reporting framework
Partner with Operational Accounting and FP&A leads to ensure reporting accuracy and strategic alignment.
Support daily treasury operations and develop weekly cash flow forecasting models.
Assist with monitoring debt covenants, ensuring timely compliance reporting and proactive risk mitigation.
Contribute to the development of an updated treasury policy to optimize returns on passive cash
Support the VP Controller on special projects related to capital raises and scaling initiatives.
Minimum Qualifications
Bachelor’s degree in Finance, Accounting or a related field.
Active CPA designation is required.
Minimum of 5 years of post-designation experience.
Demonstrated experience in complex accounting research, policy writing, and full-cycle financial reporting.
Deep US GAAP understanding and hands-on experience
Experience in cash management, forecasting and debt covenant monitoring.
Familiarity with SOX framework.
Demonstrated ability to take ownership of complex workstreams from inception to completion with minimal direction.
Preferred Qualifications
Master’s degree in Finance, Accounting or a related field.
Background in audit or consulting experience in a Big 4 firm is preferred.
IFRS experience would be considered a plus
ASC 946 experience would be an asset
Experience in cash management, forecasting, or debt covenant monitoring
Systems: Experience with NetSuite ERP is highly preferred
AI: Claude and Gemini experience is an asset.
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