Top Finance Jobs in Columbus, OH
As a Revenue Accounting Manager at Bestow, you will lead the monthly revenue close process, ensuring compliance with GAAP and revenue recognition standards. You will oversee billing operations, manage audits, guide cross-functional teams, and develop revenue policies to enhance operational excellence.
The VP of Finance at Spark is responsible for leading financial strategy and operations, managing investor relations, and ensuring GAAP compliance. This role oversees budgeting, forecasting, cash flow management, and financial reporting while guiding a team of finance professionals towards achieving company growth and stability.
The Director of FP&A will lead and optimize the strategic finance team, collaborate with leadership to analyze business decisions, manage financial forecasting and budgeting, and develop reporting on KPIs and operational metrics. This role involves identifying ROI opportunities and implementing systems to enhance reporting efficiency.
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In this role, you will partner with business leaders in the G&A organization to achieve financial goals. Responsibilities include budget management, forecasting, data-driven analysis, and annual planning. You will collaborate with cross-functional teams to improve financial processes and support strategic decision-making.
The Senior Director of Revenue Accounting at GitLab will lead the global revenue accounting team, ensuring proper revenue recognition and compliance with accounting standards. Responsibilities include guiding commercial decisions, implementing automation, collaborating with various departments, and staying current on revenue accounting rules. The role also involves managing key processes, training, and liaising with auditors.
The role involves collaborating with stakeholders to analyze business processes, gather requirements, and develop business cases for improvements. It includes data analysis, financial modeling, and creating process workflows to enhance organizational efficiencies. Additionally, the position entails validating proposed solutions and ensuring alignment with business objectives.
The Senior Financial Analyst will provide analytical support for the Revenue Finance & Strategy team, building revenue synergy models, designing customer incentives, analyzing financial performance and executing due diligence for M&A targets. The role requires strong business acumen and independent work to drive informed financial decision-making.
The Staff Accountant in the Order-to-Cash Accounting department manages billing and accounts receivable processes, including customer invoicing, cash application, and month-end close activities. Key responsibilities include ensuring compliance with contracts, maintaining customer account information, and supporting audits. The role demands effective communication and analytical skills, alongside a proactive approach to process improvements and compliance requirements.
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 Vice President of Tax will develop and oversee the company's worldwide tax strategy, compliance, and audits. Responsibilities include managing domestic and offshore resources, performing tax due diligence, establishing tax policies, and monitoring legislative changes. This role requires strong leadership and communication skills to navigate complex tax issues and interact with external auditors and tax consultants.
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