Top Finance Jobs
The Financial Aid Specialist will provide guidance and support to students and families during the financial aid process. Responsibilities include assisting with applications, evaluating financial circumstances, ensuring compliance with regulations, and collaborating with internal teams to educate stakeholders on financial aid options.
The Manager of Outsourced Accounting & Advisory provides advisory services to technology clients, manages client relationships, oversees client accounting teams, ensures financial reporting accuracy, and assists with budgeting and cash-flow forecasts. This role involves analyzing financial statements and working on multiple projects in a fast-paced environment.
As a Senior Accountant, you will manage financial close processes, develop financial reports, oversee the Quote to Cash cycle, facilitate Procure to Pay management, and enhance Record to Report compliance. You will drive audit preparations and process improvements while collaborating with various teams to ensure financial accuracy.
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The Sr. Tax Analyst Manager will review Indirect Tax compliance, prepare tax reconciliations, streamline certificate processes, manage audit requests, ensure timely filings, and research indirect tax matters. The role includes training on Indirect Tax topics and requires strong analytical and organizational skills.
The Director of Corporate FP&A at Realtor.com® leads financial planning and analysis efforts, overseeing budgeting, forecasting, and financial reporting. This role involves developing financial strategies and providing actionable insights to senior leadership to drive profitability and growth while managing a team of FP&A professionals.
The Staff Accountant will support the Accounting & Finance department by assisting in month-end closes, maintaining data integrity, preparing journal entries, analyzing financial results, and developing documentation for internal controls. They will collaborate across departments for process improvement and handle audit requests.
The role involves supporting the computation and analysis of risk-weighted assets for Credit Risk products, ensuring accurate regulatory reports, leading implementation of rule changes, analyzing variances, and managing data issues in collaboration with business controllers and credit officers.
The Accountant at CNA is responsible for overseeing accounting and operations functions, including compliance and reporting. Key tasks include preparing journal entries, account reconciliation, and financial report preparation while ensuring adherence to GAAP and statutory accounting principles. The role involves collaboration with internal resources to resolve compliance and regulatory issues and working with technology groups on systems management.
The Associate in Financial Planning & Analysis will support cash forecasting, reporting to executive management, conduct business analysis, and implement Financial Planning processes. This role requires collaboration with various teams to achieve financial objectives and drive efficiency within the department.
The Senior Manager, Tax, will lead and develop the Company’s tax and compliance functions, ensuring timely filing of tax returns, maintaining compliance with various regulations, and partnering with the Corporate Development team on tax implications of transactions. The role involves coordinating audits, reviewing financial statements, and providing tax guidance on executive compensation.
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