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Senior Corporate Accountant

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Overview

Schedule
Full-time
Career level
Senior-level
Remote
On-site
Benefits
Career Development

Job Description

Senior Corporate Accountant - Cash Management

About the Role

We're looking for a Senior Accountant who will play a key role in managing and protecting the company's cash across a large, complex organization. In this role, you'll own daily cash visibility, partner closely with Treasury and Accounting leadership, and help ensure our cash processes are accurate, well-controlled, and continuously improving.

This is a great opportunity for someone who enjoys both hands-on accounting work and process improvement, and who wants to have a direct impact on liquidity, forecasting, and financial reporting.

What You'll Do

Cash Management & Treasury Operations

  • Manage daily cash activity across multiple bank accounts and entities, ensuring accuracy and completeness
  • Perform and oversee bank reconciliations, investigate discrepancies, and resolve issues quickly
  • Prepare and share daily cash position reports, highlighting trends, risks, and recommended actions
  • Execute cash movements (transfers, wires, ACH, investments) with appropriate approvals and documentation
  • Support cash flow forecasting by analyzing trends and identifying key drivers of variance
  • Serve as a key contact for banking partners and internal teams, helping resolve complex issues

Credit & Loan Activity

  • Monitor and reconcile loan and credit facility activity to ensure timely payments and accurate tracking
  • Calculate and review interest related to loans and credit agreements

Accounting, Reporting & Compliance

  • Prepare and review journal entries for cash, debt, and treasury transactions
  • Own balance sheet reconciliations for cash and related accounts, ensuring accuracy and timely resolution of discrepancies
  • Lead cash-related month-end close activities and coordinate with cross-functional teams
  • Support internal and external audits by preparing documentation and responding to requests
  • Ensure compliance with internal controls and banking policies; proactively identify and improve control gaps
  • Partner with Treasury on bank account management, fee analysis, and process documentation

Process Improvement & Systems

  • Identify opportunities to improve and automate cash management and reconciliation processes
  • Support enhancements to ERP and treasury systems, including testing and implementation
  • Contribute to cross-functional initiatives related to cash flow, reporting, and controls
  • Share knowledge and provide informal guidance to team members as needed

What You Bring

Experience

  • 5+ years of experience in corporate accounting, treasury, or cash management
  • Familiarity with ERP systems (Oracle, M3, Adage, or similar); experience with system improvements or implementations is helpful
  • Strong understanding of cash management, banking operations, and accounting principles
  • Advanced Excel skills and comfort working with large data sets
  • Detail-oriented with strong analytical and problem-solving skills
  • Able to manage multiple priorities and meet deadlines in a fast-paced environment
  • Strong communication skills and the ability to work effectively across teams and with external partners

Education

  • Bachelor's degree in Accounting or a related field (or equivalent experience)

Additional Information

  • This is an individual contributor role with no direct reports
  • Work is performed in a standard office environment, with flexibility for reasonable accommodations
  • We are committed to maintaining a safe, respectful, and compliant workplace

Why This Role Matters

In this role, your work directly supports the company's financial stability and decision-making. You'll help ensure we have clear visibility into our cash position, strong controls in place, and efficient processes that scale with the business.

We are an equal opportunity employer and all qualified applicants will receive consideration for employment without regard to race, color, religion, sex, national origin, disability status, protected veteran status, or any other characteristic protected by law.

Automate your job search with Sonara.

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FAQs About Senior Corporate Accountant Jobs at Wayne Farms, Inc.

What is the work location for this position at Wayne Farms, Inc.?
This job at Wayne Farms, Inc. is located in Oakwood Corporate Office, GA, according to the details provided by the employer. Some roles may also include multiple work locations depending on the requirement.
What pay range can candidates expect for this role at Wayne Farms, Inc.?
Employer has not shared pay details for this role.
What employment applies to this position at Wayne Farms, Inc.?
Wayne Farms, Inc. lists this role as a Full-time position.
What experience level is required for this role at Wayne Farms, Inc.?
Wayne Farms, Inc. is looking for a candidate with "Senior-level" experience level.
What benefits are offered by Wayne Farms, Inc. for this role?
Wayne Farms, Inc. offers Career Development for this position. Actual benefits may vary depending on the employer's policies and employment terms.
What is the process to apply for this position at Wayne Farms, Inc.?
You can apply for this role at Wayne Farms, Inc. either through Sonara's automated application system, which helps you submit applications 10X faster with minimal effort, or by applying manually using the direct link on the job page.