Top Finance Jobs in Dallas, TX
The Manager, Billing Operations GPO at GitLab will identify improvement areas in billing processes, oversee the implementation of automation in Zuora Billing, manage SOX compliance, support audits, and collaborate with teams for system enhancements.
The Corporate & FP&A Reporting Lead will oversee comprehensive corporate financial reporting, develop financial models, and transform complex data into strategic insights through compelling PowerPoint presentations. The role involves collaborating with cross-functional teams, monitoring KPIs, driving process improvements, and mentoring junior staff to enhance finance skills.
The Senior Payroll Specialist will oversee payroll processes for over 2,000 employees, ensuring compliance with tax laws and performing reconciliation and audits. They will handle payroll-related transactions, manage equity transactions, and provide customer service while collaborating with other departments.
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The Manager of Finance Systems will lead the management and development of financial forecasting and planning systems at Samsara. Responsibilities include working with the Finance team to enhance existing tools, analyze business requirements, and deliver solutions that align with organizational goals.
As the VP of Finance at Mixbook, you'll lead financial strategy, manage cash flow, develop high-performing teams, and guide financial decisions in collaboration with the executive team. This role involves modernizing financial operations while positioning the company for sustainable growth and profitability.
The Director of Infrastructure FP&A at Dropbox leads financial strategy and forecasting for the Infrastructure teams while collaborating with senior executives to support business decisions. This role involves conducting deep financial analysis, presenting insights to leadership, and driving resource optimization within the company's technology functions.
Join Hex as a Senior Accountant to oversee day-to-day operations including AP, AR, Payroll, and Treasury. Manage month-end close processes, ensure GAAP compliance, and optimize cash management. Requires 4+ years of Accounting experience in a small company environment with a Bachelor's degree. Experience with ERP Systems, Payroll, and strong analytical skills.
The Outsourced Controller is responsible for general ledger preparation, reconciliation, month-end close, financial reporting, and client relationship management in the gaming industry. Travel to client sites is required. Bachelor's degree in Accounting/Finance and 3+ years of experience are necessary.
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.
The Treasury and Accounts Payable Manager will manage bank accounts, oversee cash flow forecasting, and the accounts payable process. Responsibilities include maintaining vendor relationships, ensuring timely processing of transactions, and identifying process improvements while collaborating with various departments. Strong analytical skills and attention to detail are essential for this role.
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