Amplify ETFs is seeking a detail-oriented and highly motivated Senior Accountant to join our growing finance team. This role will play a key part in managing the day-to‑day accounting operations, supporting month‑end close processes, and enhancing financial reporting accuracy and efficiency. The ideal candidate has a strong foundation in GAAP, thrives in a fast‑paced environment, and is comfortable working with complex entity structures and investment products.
Location: Lisle, IL (On-site)
Duties & Responsibilities
Lead and support monthly, quarterly, and annual close processes to ensure timely and accurate financial reporting
Oversee accounting across multiple entities, ensuring accurate consolidation of financial results, including timely preparation, reconciliation, and elimination of intercompany transactions and balances
Prepare and review journal entries, account reconciliations, and supporting schedules
Analyze financial results and investigate variances across entities and funds
Assist in the preparation of financial statements and footnotes in accordance with U.S. GAAP
Coordinate with fund administrators and external service providers to ensure accurate fund‑level reporting
Prepare audit schedules and respond to audit requests in a timely manner for annual audit and interim compilations/reviews
Assist with tax support, including coordination with external tax advisors for K‑1s and filings
Identify and implement process improvements, including leveraging AI and automation tools to streamline the close process and enhance accuracy and efficiency
Leverage NetSuite and other systems to automate processes and enhance reporting capabilities
Assist with implementation and maintenance of internal controls and documentation
Review and oversee transaction coding to ensure accuracy across departments, funds, and entities, supporting consistent data integrity for financial reporting and automated reporting outputs
Develop a strong understanding of upstream transaction flows (AP, AR, and expense processes) to ensure proper tagging and alignment with reporting and consolidation requirements
Requirements
Required
Bachelor’s degree in Accounting or Finance
3–6+ years of accounting experience (public accounting or industry)
Strong understanding of U.S. GAAP
Advanced Excel skills
Preferred
CPA designation (or actively pursuing)
Experience in asset management, financial services, or investment funds
Familiarity with partnership accounting/concepts and tax requirements
NetSuite experience strongly preferred
Key Competencies
Strong attention to detail and organizational skills
Ability to manage multiple priorities and meet tight deadlines
Analytical mindset with problem‑solving capabilities
Excellent communication skills and ability to collaborate cross‑functionally
Proactive, process‑oriented, and comfortable operating in a dynamic environment
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