Top Finance Jobs in San Francisco, CA
The Senior Director of FP&A will lead business support and decision modeling for Publishing and Studio teams, focused on analyzing and reporting financial performance, developing forecasts and budgets, and collaborating with senior management to improve financial planning processes. They will engage with executives and provide insights on business drivers and performance metrics.
The Senior Accountant will streamline processes and develop accounting best practices, focusing on operational accounting and reporting under US GAAP and IFRS. Responsibilities include financial reporting, reconciliation of accounts, collaborating with various departments, and optimizing accounting policies. This role requires analytical skills and the ability to communicate financial information effectively.
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.
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The Senior Accountant will support internal financial reporting processes and controls, perform account reconciliations, conduct fluctuation analyses, assist in audits, and ensure compliance with SEC reporting and SOX audits, while collaborating with the FP&A team for accuracy in financial data.
The Senior Finance Manager for Sales FP&A at Canva will partner with Sales and Success leaders to develop financial models, oversee P&L management, drive sales metrics, and support strategic and operational decision-making to enhance revenue and profitability for the Enterprise SaaS offerings.
As a Compliance Risk Assessment Manager at Block, you will manage the compliance risk assessment program, execute risk assessment life cycles, analyze complex compliance topics, and enhance existing risk assessment processes. You will collaborate with control owners on remediation plans and contribute to designing compliance programs tailored for leadership.
The Strategic Finance Manager will partner with marketing leadership to provide financial insights, develop KPI frameworks, evaluate ROI, track budgets, and support long-range planning initiatives. This role requires deep analytical skills and experience in high-growth technology environments.
The Treasury Manager will oversee corporate cash and liquidity management, collaborate with FP&A for financial modeling, manage cash reconciliation processes, administer financial arrangements, execute capital market activities to enhance shareholder value, generate required reporting, manage investment portfolio risks, and ensure compliance with governance and financial reporting controls.
As the Assistant Controller at Grammarly, you will oversee accounting operations, supervise financial reporting, implement automation improvements, ensure compliance with accounting standards, and prepare for the IPO process. You will partner with various teams and lead a multi-location accounting function, driving strategy and budget management.
The Accounting Manager will oversee the daily operations of the Corporate team, focusing on technical accounting transactions and leading financial close processes. Responsibilities include managing journal entries, reconciliations, driving automation, and acting as a liaison for external audits.
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