Top Hybrid Finance Jobs
The General Ledger Payroll Accountant is responsible for maintaining accurate payroll records, performing reconciliations, processing bonuses and commissions, and ensuring compliance with accounting standards. The role involves collaboration with HR and Payroll departments, handling month-end close processes, and conducting audits of payroll-related accounts.
As Associate VP of Accounting and Finance, you will support the CFO with strategic financial management, oversee divisional finance leads, ensure accurate financial reporting, manage budgets, and maintain accounting policies. You will also handle cash flow forecasting, coordinate audits, and ensure GAAP compliance.
The Senior Financial Analyst will provide financial support for the North America Agency, focusing on client analysis, budgeting, forecasting, and profitability reporting. Responsibilities include collaborating with teams to generate financial insights, preparing pricing estimates, developing annual financial plans, and analyzing client profitability to enhance decision-making and drive agency growth.
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As an FP&A Associate, you will leverage your analytical skills to drive business strategy by analyzing key performance indicators, leading financial planning cycles, creating executive presentations, and enhancing financial models. You will collaborate with cross-functional leaders to identify cost-saving opportunities and communicate insights to leadership.
Join Arrive's Accounting team as a Staff Accountant responsible for month-end close duties, account reconciliations, reporting, and assisting with budget preparation. Work collaboratively with various teams to ensure accurate accounting and reporting. Benefits include a hybrid work-from-home schedule, matching 401K, and employee rewards program.
The FP&A Manager will lead financial planning and analysis processes, providing strategic insights and forecasting support for various business units. Responsibilities include maintaining the operating model, improving reporting frameworks, performing budgeting and month-end close analysis, and collaborating with teams on financial strategies and capital raise efforts.
The Finance & Strategy Manager at Samsara will lead the management of Cloud, Cell, and SaaS Infrastructure costs. Responsibilities include partnering with engineering leaders, developing financial models, managing software vendor contracts, and driving strategic decision-making to optimize infrastructure usage and achieve corporate financial goals.
As a Senior Tax Manager, you will handle direct income taxes, prepare financial reporting, lead tax provision reviews, manage state and local nexus, coordinate audits, analyze mergers and acquisitions, and improve tax processes using technology innovations.
The Finance and Accounting Technology Analyst will manage SAP Finance and Accounting applications, supporting the Finance Team. Responsibilities include implementation, optimization, and technical support for S/4 HANA, Ariba, and High Radius, documentation of processes, and collaboration with business users to meet Finance needs.
The Director of Corporate FP&A will lead the financial planning process, including budgets and forecasts, partner with various departments for strategic and operational planning, administer financial tools, and drive reporting and analysis to support company growth and investor communication.
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