Top Finance Jobs in Atlanta, GA
This Senior Claims Counsel position involves handling high severity D&O and E&O claims for public companies and financial institutions. The role includes evaluating liability and coverage, formulating claim resolution strategies, negotiating settlements, mentoring junior team members, and collaborating with internal business partners.
As an Accounting Lead, you will manage the general ledger accounting processes, ensure timely month-end close, analyze financial data, and oversee team members. You will also design and implement accounting policies, support audit requirements, and seek to improve accounting processes.
The Senior Associate in Strategic Finance will provide financial analysis and develop advanced financial models to drive revenue growth and resource allocation decisions. Responsibilities include collaborating with business partners for forecasts, delivering actionable insights, optimizing reporting processes, and analyzing performance metrics to support GTM leadership in decision-making.
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Manage a remote accounting team, provide financial advisory services, review financial statements, and mentor staff. Responsible for accounting period close and improving client accounting processes. Oversee job budgets and profitability while maintaining strong client relationships.
As a Controller in Healthcare, manage client teams engaged with healthcare clients, provide training, maintain client relationships, review performance indicators, develop budgets and ensure accurate engagement completion while staying updated on healthcare regulations.
Lead Accountant responsible for coordinating accounting functions, reconciling accounts, implementing process improvements, preparing financial statements, leading external auditors, and managing regulatory reporting. Strategic partner liaising with Global Controller and department heads in a hyper-growth SaaS company focused on data and security markets.
The Accounts Receivable Specialist at MediaNews Group is responsible for managing credit and collections activities, assisting with billing and cash receipts, and maintaining customer accounts to minimize past dues. This position involves initiating collection communications and conducting customer credit analysis while collaborating with management on collection strategies.
The Corporate Finance Manager will oversee financial consolidations, forecasting, internal reviews, and external board reporting. This role involves synthesizing financial data for executive leadership and preparing detailed financial models and presentations for stakeholders.
The Accounting Manager will oversee day-to-day accounting activities including general ledger management, accounts payable, financial reporting, and audit preparation. This role includes managing the Staff Accountant, leading close processes, supporting audits, and preparing tax packages.
As a Staff Accountant, you will prepare monthly analyses of general ledger accounts, maintain accurate financial records, process accounts payable and receivable, handle vendor inquiries, prepare audit documentation, and perform ad hoc reporting and analysis to support financial operations at Check.
As a Staff Accountant, you will prepare monthly account analyses and reconciliations, maintain financial records and reports, process accounts payable/receivable, manage vendor/customer inquiries, and support audits. You will contribute to financial integrity, operational excellence, and support the company's mission for easy payroll management.
As a Senior Technical and Reporting Accountant, you'll work cross-functionally to address accounting issues, compile financial statements, assist with audits, and ensure compliance with US GAAP, particularly focusing on ASC standards. Training and collaboration on accounting topics will also be key responsibilities.
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