Top Finance Jobs in Boston, MA
The Senior Manager, Accounting at Rue Gilt Groupe is responsible for overseeing revenue recognition, cost of goods sold accounting, and managing a team of Accountants. The role involves close collaboration with cross-functional teams to ensure accurate financial reporting and process improvements.
Leader Bank is seeking a Staff Accountant with knowledge of accounting principles and processes within the banking industry. Responsibilities include posting entries to the general ledger, balance sheet reconciliations, and assisting with month-end and year-end close. Qualifications include experience in banking industry accounting, a Bachelor's degree in accounting, finance, or economics, and strong leadership and communication skills.
The FP&A Analyst will partner within the business to provide financial & strategic analysis, budgeting, forecasting, reporting, and strategic growth alternatives. Responsibilities include maintaining financial models, coordinating budgets and forecasts, creating reporting deliverables, supporting corporate development, and identifying key metrics to drive business decisions.
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As the Accounting Manager, oversee finance and accounting operations, partnering with the VP of Finance and external accounting partners. Responsible for financial planning, budgeting, reporting, and driving process improvements. Must have a BA in Accounting with 5+ years of experience, strong Excel skills, and healthcare experience preferred.
Join Snyk as a Finance Manager to collaborate with senior leaders, develop operating budgets, build financial models, analyze growth metrics, and translate complex financial data. Drive efficient operations, support forecasting cycles, and maintain SaaS metrics for performance tracking.
The Treasury Analyst at Rapid7 will be responsible for managing global daily cash balances, cash flow forecasting, executing payments, maintaining banking relationships, analyzing foreign currency exposure, and supporting special projects. This role requires a minimum of 3 years of treasury operations experience and strong analytical skills.
As a Tax Coordinator, you will provide essential administrative support to the Tax team, streamline compliance and tax operations, and communicate with stakeholders. Responsibilities include collaborating with various teams, leading projects, managing licenses and filings, and maintaining documentation.
Seeking a CFO to drive business and financial strategy, oversee financial management, and make critical business decisions at Hometap, a company focused on making homeownership more accessible. Responsibilities include leading corporate finance functions, capital management, and strategic financial planning.
Responsible for supporting FP&A close & forecasting tools, maintaining Adaptive Insights, supporting financial reporting and consolidation initiatives, and assisting with financial modeling and analyses.
The Finance Operations Manager role at Memfault involves a mix of Finance Operations and FP&A responsibilities, including maintaining finance processes, financial statement analysis, and budget processes. The role requires experience in finance operations and SaaS/software businesses, strong analytical skills, and the ability to manage fiscal controls and internal procedures.
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