Top Finance Jobs in Dallas, TX
The Accounting Manager will manage the creation of US GAAP financial statements, perform complex accounting analyses, and ensure compliance with accounting norms. The role involves conducting monthly consolidations in Oracle, preparing financial reports, providing audit support, and suggesting efficiency enhancements while collaborating closely with senior management.
The Finance Accounting Manager is responsible for creating US GAAP financial statements, ensuring compliance with accounting norms, conducting monthly consolidations in Oracle, preparing account reconciliations, and supporting internal and external audits. This role involves collaboration with upper management and includes special projects related to accounting standards and financial systems.
The Sr. Payroll Analyst is responsible for payroll preparation and processing, auditing payroll data, ensuring compliance with tax regulations, managing timesheet submissions, and collaborating with vendors and internal teams to improve payroll operations. They will also handle year-end adjustments, generate reports, and document payroll procedures while maintaining high data integrity and customer service.
The Payroll Manager oversees payroll operations, ensuring compliance with regulations and company policies. Responsibilities include managing payroll processing for US and international employees, conducting audits, collaborating with HR and Treasury, and generating reports. The role also involves improving payroll processes and maintaining data integrity within the payroll system.
The Senior Manager, Transaction Tax Transformation and Automation leads technology automation projects for clients in tax organizations. Responsibilities include managing project scope, teams, timelines, budgets, and delivering custom automation solutions, while providing mentorship and maintaining client relationships.
The Senior Analyst in Financial Planning & Analysis analyzes financial data, prepares financial reports, assists in budgeting and forecasting, and provides financial recommendations to management. This role supports senior leaders with detailed analysis and reporting to facilitate optimal business decisions and improvements in financial performance.
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As a Senior Finance Manager in Marketing, you will analyze marketing campaigns, optimize investments, and measure ROI. Your role includes developing financial forecasts, collaborating with cross-functional teams, and presenting insights to leadership. You will utilize statistical analysis and marketing attribution to enhance performance and drive results.
As Finance Manager Marketing, you will analyze marketing campaign effectiveness, create financial models for marketing investments, lead attribution efforts, and offer insights to enhance ROI. You'll work closely with finance and marketing teams, report findings to leadership, and identify areas for performance optimization.
As a Financial Analyst at HUB, you'll provide financial reporting and analytics for clients in the Employee Benefits department. Responsibilities include managing multiple deadlines, producing detailed client-facing reports, contributing to client services, and supporting data-driven decision-making. You'll collaborate with various teams and assist with client presentations.
The Accounts Receivable Specialist I is responsible for collecting payments on delinquent accounts, maintaining good customer relations, analyzing billing, and assisting with closing duties. This role involves negotiating with customers, documenting collection activities, and collaborating with other teams to resolve issues and prevent future delinquencies.
The Accountant III prepares and analyzes financial statements while ensuring IFRS compliance. They manage the financial close process, partner with finance leadership for reporting accuracy, and drive process improvements. Responsibilities include audit activities, variance analysis, and contributing to financial governance projects.
The Senior Escrow Accountant manages and oversees financial transactions and records related to escrow accounts, ensuring compliance with regulations, preparing financial reports, and providing guidance to junior staff. The role also includes risk management and assisting with treasury-related projects in collaboration with internal and external teams.
The Senior Accountant will manage key financial responsibilities such as general ledger maintenance, preparing journal entries, ensuring compliance with GAAP, and handling internal and external reporting. This role requires addressing audit findings, improving accounting processes, and collaborating with various departments to maintain accuracy in financial reporting.
The Sr Manager of Tax Compliance at McKesson will oversee corporate and partnership tax return preparation, manage a team, ensure accuracy and adherence to deadlines, and contribute to process improvements while collaborating with various teams. This role requires strong analytical skills, knowledge of federal and multi-state tax compliance, and experience in public accounting or industry.
The Treasury Manager at HedgeServ will oversee cash management and collateral management processes, handle margin calls, train junior team members, and develop strategies to enhance processes. The role involves interaction with clients and brokers, managing transactions, and communicating effectively within various teams, while implementing innovative technological solutions.
As a Fund Accountant in the NAV department, you will execute tasks involving reconciliation, trade capture, corporate action processing, and pricing. You will work under the supervision of Fund Accounting Supervisors and Managers, receive tailored induction training, and participate in client-focused training throughout the graduate program.
Manage the overall NAV calculation process for HedgeServ under guidance from Fund Accounting Director. Develop client relationships, oversee fund accounting teams, resolve inquiries, and improve NAV calculation workflows.
As a Senior Accountant at Blockchain.com, you will manage the general ledger, handle reconciliations for bank accounts and cryptocurrencies, assist in monthly closings, ensure compliance with accounting standards, and support audits. You're expected to establish internal controls and collaborate with various teams, maintaining financial accuracy and adherence to regulations.
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