Group Finance Manager, Treasury Accounting
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![]() United States, Washington, Redmond | |
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OverviewOur mission is to empower every person and organization on the planet to achieve more. This inspires our work and drives us to challenge the status quo every day. In Corporate Accounting, we bring this mission to life through operational excellence, cross-functional collaboration, and a commitment to continuous learning. We are hiring a Group Finance Manager, Treasury Accounting a people leadership role responsible for a team of professionals who oversee the accounting and financial reporting of Microsoft's capital markets activities. This role combines technical acumen with thoughtful people management and a passion for collaboration. The position provides high visibility and executive exposure through its responsibility for investment-related reporting, compliance, and analysis for leaders and the Board. The role's scope spans the full lifecycle of Microsoft's cash investment portfolio - including strategic and impact investments, derivative and hedging programs, debt issuance, and corporate insurance. The manager will oversee operationalization of accounting for new programs or reporting requirements in these areas, driving clarity and compliance in a dynamic environment. This role partners closely with internal stakeholders across Treasury, Tax, Legal, and Corporate Accounting, as well as external advisors, to ensure that activities are properly accounted for under US Generally Accepted Accounting Principles (GAAP) and International Financial Reporting Standards (IFRS). In addition, the team leads vendor governance and day-to-day oversight of outsourced accounting providers. Together, we aim to produce accurate financials, safeguard Microsoft's assets, and create an inclusive environment that values curiosity, rigor, and diverse perspectives.
ResponsibilitiesPeople Leadership & Team Development:Lead, coach, and develop a high-performing accounting team by setting clear goals, providing feedback, and supporting career growth. Foster a culture of accountability, inclusion, learning, and continuous improvement. Create clarity and drive alignment across complex processes, supporting team well-being while maintaining high standards of execution. Accounting Oversight & Close Excellence:Oversee and guide the accounting for complex capital markets activities, including cash, investments, debt, hedging, insurance, and strategic investment programs. Ensure accurate and timely reporting under US GAAP and IFRS. Support monthly close and quarterly reporting processes, including internal dashboards, Board materials, and compliance documentation. Serve as a key point of contact for finance leaders and external auditors, presenting complex topics with clarity and confidence. Strategic Partnership & Enablement:Partner with Treasury, Tax, Legal, Corporate Accounting, and Investment Operations to launch new programs, implement new reporting requirements, and align accounting guidance with business goals. Lead the accounting operationalization of new or evolving investment structures and financial instruments. Provide insights and analysis to enable informed decision-making across Finance and Treasury leadership. Control & Compliance Leadership:Own and strengthen financial controls and governance processes across the investment lifecycle, including Sarbanes-Oxley (SOX) and Microsoft policy compliance. Lead risk assessments and control design in partnership with the Treasury Compliance Committee and Corporate Accounting. Maintain vendor oversight of outsourced accounting agents, ensuring consistent adherence to policies, controls, and service-level expectations. |