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Futures — Plano Texas
At My Funded Futures, we’re transforming the world of proprietary trading by giving traders the capital, tools, and community they need to succeed. We blend innovation, transparency, and performance to create opportunity — helping traders scale faster and smarter. If you’re passionate about fintech, financial markets, and data-driven growth, you’ll fit right in.
Explore our open roles below and see how you can help us shape the future of funded trading. The Accounting Associate – Treasury Financial Reporting will play a key role in supporting the Company's accounting operations, treasury activities, and financial reporting across multiple entities. This is a hands-on role that combines technical accounting, treasury operations, cash management, and financial operations to help ensure accurate financial reporting, effective liquidity management, and strong internal controls.
Responsibilities
You will partner closely with the Senior Accountant and VP of Finance to support the monthly close process, maintain accurate financial records, assist with treasury operations, monitor daily cash activity, and contribute to building scalable accounting and financial processes as the Company continues to grow. This role is ideal for someone approximately two years out of college, preferably with public accounting experience at a Big Four or other national accounting firm, who is looking to transition into industry while developing expertise in both accounting and treasury.
Key Responsibilities
General Accounting Financial Reporting Assist with the monthly, quarterly, and annual close process across multiple entities. Prepare journal entries and supporting documentation. Perform balance sheet account reconciliations and investigate reconciling items.
Assist in preparing monthly financial statements and supporting schedules. Maintain accurate general ledger activity and supporting workpapers. Support the preparation of consolidated financial reporting as we prepare for audit-readiness Assist with tax support schedules and regulatory reporting.
Treasury Financial Operations Monitor daily cash positions across multiple bank accounts, entities, and payment processors. Prepare daily and weekly cash reporting to support liquidity management. Complete bank reconciliations and investigate reconciling items.
Assist with wire transfers, ACH payments, and intercompany cash movements Track payment processor settlements, reserve balances, and other treasury-related balances. Assist with maintaining short-term cash flow forecasts and liquidity schedules. Support bank account administration and treasury documentation Maintain treasury schedules and assist with cash management reporting.
Support treasury process improvements and help strengthen cash management controls. Operational Accounting Assist with vendor payments and accounts payable processing. Review employee expense reports for compliance with Company policy.
Experience with Ramp a plus. Prepare prepaid expense, fixed asset, and other accrual schedules. Assist with intercompany accounting and reconciliations across multiple entities.
Prepare month-end equity eliminations Assist with maintaining supporting schedules for monthly close. Cross-Functional Partnership Partner with the Senior Accountant and VP of Finance to ensure accurate financial reporting and treasury operations. Collaborate with Operations and other departments to ensure timely and accurate financial information.
Support special projects and strategic finance initiatives. Assist with ad hoc financial analyses and reporting requests required by other departments. Process Improvement Controls Identify opportunities to improve accounting and treasury processes.
Support implementation of accounting policies, treasury procedures, and internal controls.