Top Finance Jobs
The Strategic Finance Lead will partner cross-functionally to drive efficiency and strategic alignment at MANTL. Responsibilities include managing budgets, conducting financial analyses, and collaborating with departments to allocate and deploy resources effectively. This role demands strong analytical skills to understand business drivers and communicate findings to leadership.
The Staff Accountant will manage the general ledger, assist in month-end closing, prepare adjusting journal entries, enter invoices, and assist with external audits and reports. They play a crucial role in maintaining accurate financial records and supporting departmental reporting.
The Sr. Manager of Financial Planning & Strategy will lead financial planning and strategic initiatives for customer-facing and internal operations, oversee budgeting and forecasting, serve as a strategic partner to leadership, develop commissions plans, and handle financial reporting.
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Join AvePoint as a Senior FP&A Analyst to provide financial insights, projections, and support decision-making within a fast-moving SaaS company. Responsibilities include preparing financial reports, analyzing trends, and collaborating with teams to align financial planning with business objectives.
As a key member of the Sales FP&A function, you will be responsible for sales forecasting, budgeting processes, and managing KPIs in a fast-paced software company. Collaborating closely with sales and finance teams, you will drive planning and execution while mentoring team members.
The Finance and Accounting Manager will partner with the CEO to manage critical business operations, including accounting, financial reporting, payroll, and compliance. The role involves implementing financial KPIs, supporting forecasting and budgeting, and engaging with investors and vendors, requiring strong analytical and communication skills.
The Senior Finance Manager will lead financial strategy, forecasting, and budgeting processes while collaborating with business leaders to optimize resource allocation and business performance. The role includes preparing financial reviews, analysis of metrics, and managing a team to drive strategic initiatives.
As the Treasury Manager, you will manage and optimize Anka’s cash resources and payment operations across multiple countries. You will oversee cash flow management, financial risk, treasury operations, and ensure compliance with internal controls. Additionally, you will analyze the company's cash position and provide recommendations for improvement.
Prepare tax provision calculations for quarterly and annual SEC filings, research complex tax issues, monitor tax legislation, maintain internal control for compliance, support tax department activities, and identify process improvements.
The AP Staff Accountant will manage accounts payable processes, vendor management, payment reconciliation, and support month-end and year-end close activities. Responsibilities include monitoring cash balances, performing bank reconciliations, assisting in tax filings, and ensuring the integrity of accounting information. The role also involves participating in audits and contributing to special projects as assigned.
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