Senior Financial Analyst - Corporate Accounting
Bitfarms · Pittsburgh, PA · 2 days ago
HybridFull-time
What It Feels Like to Work Here
Fast-moving, high-growth, and hands-on.
Smart, driven people solving real challenges together.
Work that directly supports AI and next-generation infrastructure.
Room to grow, stretch, and take on more.
What We Offer
- Competitive salary, bonus, and equity opportunities.
- Comprehensive health and wellness benefits.
- Retail savings with company contribution.
- Employee referral program.
Senior Financial Analyst - Corporate Accounting
Reporting to the Manager, Corporate Accounting, the Financial Analyst, Corporate Accounting will play a key role in the preparation of financial reporting and analysis. This includes ownership of key month-end processes, supporting quarterly and annual reporting, budgeting and forecasting activities, as well as contributing to process improvements and SOX compliance initiatives.
Key Responsibilities
- Financial Reporting & Close (40%)
- Prepare and review quarterly and annual financial statements and disclosures.
- Support and oversee month-end close activities.
- Analyze complex accounting transactions and ensure compliance with applicable accounting standards.
- Budgeting & Forecasting (15%)
- Assist in the preparation of the annual budget and board presentation materials.
- Support forecasting processes and financial planning activities.
- Financial Analysis (15%)
- Perform variance analysis and provide insights on financial performance.
- Prepare ad hoc financial analysis to support management decision-making.
- Process Improvement & Projects (20%)
- Participate in special projects, including financing initiatives, system implementations, and process automation.
- Identify and implement process improvements to enhance efficiency and accuracy.
- Internal Controls & SOX Compliance (20%)
- Support the design, implementation, and testing of internal controls.
- Coincide with external auditors and third-party firms to maintain SOX compliance.
- Cash Flow & Working Capital (10%)
- Prepare cash flow forecasts and monitor liquidity.
- Bachelor's degree in Accounting, Finance, or a related field.
- CPA designation (required).
- 4+ years of relevant experience, including 2–3 years in a corporate accounting or finance environment.
- Experience in a Big Four or national accounting firm is an asset.
- Strong knowledge of US GAAP; familiarity with US and Canadian securities regulations is an asset.
- Advanced proficiency in Microsoft Office Suite (Excel, PowerPoint, Word, Outlook, Teams, SharePoint, Power BI).
- Experience with Microsoft Dynamics Business Central and Jet Reports is an asset.
- Knowledge of automation tools / AI is an asset.
- Strong analytical, problem-solving, and communication skills.