Corporate Accountant (Cash)

Location: US-Colorado-Denver
Department: Americas Controllership (4880)


Global Eagle is a leading provider of satellite-based broadband connectivity, television and entertainment services, content and data analytics to aviation, maritime, enterprise and government markets. Global Eagle offers a fully integrated portfolio of rich media content and high-speed connectivity solutions for airlines, private jets, cruise lines, commercial ships, super-yachts, ferries, enterprise, government and military installations worldwide with proprietary performance-enhancing technologies and exclusive access to premium media. With 1,200 employees on six continents and leading global satellite and ground networks, the company delivers exceptional service and concierge support to its customers.

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Role Summary

We are looking for an experienced accountant to join the Corporate Accounting team. The Corporate Accountant will be an integral member of the team who will be responsible for several key areas of the month-end close process and will lead the preparation of monthly journal entries, account reconciliations, and variance analyses.

Key Responsibilities

  • Prepare monthly journal entries and reconcile key balance sheet accounts ensuring proper supporting documentation
  • Primary areas of focus will be cash, inter-company transactions and consolidations
  • Perform and document month-end close procedures in accordance with internal control requirements
  • Analyze and document Income Statement and Balance Sheet fluctuations on a quarterly basis
  • Coordinate with teams across multiple departments and locations to obtain and distribute financial information
  • Support the completion of quarterly reviews and annual audits. Prepare audit documentation and key footnote disclosures as requested
  • Proactively identify and implement process improvements
  • Perform special projects and any other duties and responsibilities as may be assigned


  • A minimum of 3-4 years relevant accounting experience
  • Previous experience with cash reconciliations and/or consolidation is a plus
  • Bachelor’s degree in Accounting, Finance or related field
  • Working towards CPA and/or Public Accounting experience is a plus
  • Fundamental knowledge of US GAAP and SOX requirements
  • Previous experience with ERP systems (Oracle/HFM) is a plus
  • Intermediate to advanced Microsoft Excel skills
  • Excellent verbal and written communication skills
  • Ability to adhere and meet internal and external deadlines
  • Capability to prioritize workload and perform in a dynamic and fast-paced environment


 Please note: Only shortlisted candidates will be contacted.

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