Quick Overview
Job Description
Job Description
CoreWeave is The Essential Cloud for AI™. Built for pioneers by pioneers, CoreWeave delivers a platform of technology, tools, and teams that enables innovators to build and scale AI with confidence. Trusted by leading AI labs, startups, and global enterprises, CoreWeave combines superior infrastructure performance with deep technical expertise to accelerate breakthroughs and turn compute into capability. You will own cash accounting across a complex, global banking structure and safeguard the integrity of the cash ledger at scale.
You will own the key SOX controls over cash and payments and lead the audit relationship. And you will partner directly with Treasury and Finance leadership, turning complex banking mechanics into decisions. You will be joining an exceptionally credentialed team drawn from Big 4 practice and public company finance, with IPO experience behind us and deep SOX fluency as our baseline rather than our differentiator. If you want to do the most technically ambitious cash work in the market alongside people who will make you better, this is where it happens.
Cash Operations Ownership
Global Cash Accounting:
Own the end-to-end accounting for cash and cash equivalents across a high-volume, multi-bank, multi-currency banking structure, including daily cash activity coding, month-end cash tie-outs, and the integrity of the cash ledger at scale.
Reconciliations at Scale:
Own bank and clearing account reconciliations across a large and growing account population; drive aged and unreconciled items to zero by fixing the upstream process, not by papering over the reconciliation.
Partner with AP, Payroll, AR, and Treasury to ensure accurate recording, classification, and cut-off of wires, ACH, card, and FX settlement activity; maintain rigorous hygiene over in-transit and suspense balances.
Restricted Cash & Debt Service
Account for restricted cash, escrow, collateral, and letter of credit balances; support interest, debt service, and covenant-related cash reporting in partnership with Treasury.
Statement of Cash Flows Support
Provide the transaction-level data, classification logic, and analysis that underpin the Statement of Cash Flows, including proper operating, investing, and financing treatment of complex activity.
Control Ownership
Own and operate key SOX controls over cash, bank reconciliations, payments, and treasury system interfaces; ensure evidence is complete, timely, and audit-ready by design
Narratives & Risk Control Matrices:
Design and maintain process narratives and Risk Control Matrices for the cash cycle; proactively identify control gaps as volumes, entities, and banking relationships change, and remediate before they become findings.
Audit Liaison
Serve as the primary point of contact for internal and external auditors on cash and treasury walkthroughs, sample selections, and substantive testing.
Build and re-architect control frameworks that hold up as transaction volume, entity count, and banking complexity grow rapidly; Close Command:
Own the cash workstream on the critical path of close in FloQast, NetSuite, and boundary systems; Agentic AI for Close:
Identify, pilot, and deploy agentic AI and machine-driven solutions for reconciliation matching, transaction classification, exception triage, flux commentary, and evidence gathering; define the guardrails, review points, and control design that make AI-assisted accounting auditable.
Lead the design of automated bank feeds, cash application logic, matching rules, and treasury-to-ERP integrations; drive implementation of subledger and supporting solutions that produce accuracy at the source.
Cross-Functional Partnership
Treasury & Finance Alignment:
Work shoulder-to-shoulder with Treasury on cash positioning, forecasting inputs, banking structure changes, and liquidity reporting; ensure the accounting record and the treasury view reconcile and tell the same story.
Broad Stakeholder Reach
Operate fluidly across the broader Accounting, Treasury, FP&A, Tax, Procurement, and Technical Accounting organizations, as well as banking partners and external auditors. Translate complex cash and banking mechanics into clear, decision-ready commentary for senior Accounting and Finance leadership.
Bachelor's degree in Accounting.
~4+ years of progressive accounting experience, with exposure to cash, treasury, or high-volume transactional accounting in a complex environment (public company experience required).
~ Demonstrated ownership of SOX 404 key controls, including control design, narrative, risk and control management, and direct interaction with internal and external audit.
~ Proven track record building and scaling control environments in a company experiencing rapid growth in volume, headcount, and entity complexity.
Strong command of US GAAP as applied to cash and cash equivalents, restricted cash (ASU 2016-18), the Statement of Cash Flows (ASC 230), and foreign currency matters (ASC 830). Power user of NetSuite or comparable robust ERP (SAP, Oracle, etc.), close management software (FloQast/BlackLine), treasury management systems (Kyriba preferred), and bank portals, and BI and data management tools, with genuine fluency in AI-enabled and agentic automation solutions.
Automation Mindset: instinctively ask whether a task should exist at all before you ask how to do it faster, and you have shipped automations that permanently removed manual work from a close. Curious, agile, and energized by the pace and ambiguity of a high-growth company. CPA license or equivalent.
~ Big 4 public accounting background. Here are a few qualities we've found compatible with our team.
You're curiou s about what accounting becomes when execution is automated and expertise shifts to strategic analysis
As we get set for takeoff, the organization's growth opportunities are constantly expanding. We strive for both market alignment and internal equity when determining compensation. In addition to base salary, our total rewards package includes a discretionary bonus, equity awards, and a comprehensive benefits program (all based on eligibility). These include qualifications, experience, interview performance, and location.
The benefits below reflect our US-based offerings for full-time employees; Medical, dental, and vision insurance - 100% paid for by CoreWeave
~ Company-paid Life Insurance
~ Voluntary supplemental life insurance
~ Short and long-term disability insurance
~ Flexible Spending Account
~ Health Savings Account
~ Tuition Reimbursement
~ Ability to Participate in Employee Stock Purchase Program (ESPP)
~ Flexible, full-service childcare support with Kinside
~Flexible PTO
~ Catered lunch each day in our office and data center locations
~ A casual work environment
~ All qualified applicants and candidates will receive consideration for employment without regard to race, color, religion, sex, disability, age, sexual orientation, gender identity, national origin, veteran status, or genetic information.
As part of this commitment and consistent with the
Americans with Disabilities Act (ADA) , CoreWeave will ensure that qualified applicants and candidates with disabilities are provided reasonable accommodations for the hiring process, unless such accommodation would cause an undue hardship. This position requires access to export controlled information.
S. citizen or national, (ii) U.S. lawful permanent resident (green card holder), (iii) refugee under 8 U.1158, (B) eligible to access the export controlled information without a required export authorization, or (C) eligible and reasonably likely to obtain the required export authorization from the applicable U.
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