Reporting to the Corporate Controller, this leader partners with the Treasurer, tax, FP&A, legal, shared services, external auditors, and systems teams to create a globally consistent, scalable, and well-controlled treasury accounting model. Develop accounting playbooks for significant treasury transactions, including debt issuance, refinancing, covenant-related activity, hedging programs, FX remeasurement, cash pooling, intercompany loans, dividends, and capital contributions.