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As a Staff Accountant at Peaksware, you will support the accounting team by maintaining financial reports, records, and general ledger. You'll assist with month-end close processes, journal entries, tax filings, and reconciliations while seeking opportunities for improvement and automation. This role requires a Bachelor's Degree in Accounting, 0-2 years of experience, proficiency in Excel, and strong communication skills.
As a Treasury Analyst - Commodity Finance, you will perform research and analysis on trading-related matters, including cash management and clearance. You will work with various types of securities and commodities financing and contribute to the development of new tools and processes.
Coordinate invoice receipt and processing, vendor management, disbursement functions, payment coordination, and enforcing company policies. Develop vendor relationships and assist in operational improvements. Provide training and support to staff, analyze data, and assist in audits.
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This Manager role in GTM Finance involves business partnering with Marketing leadership, financial planning, analysis, reporting, and ROI tracking on marketing programs. Responsibilities include preparing reports, forecasting, analyzing business activities, and supporting planning processes.
Manage the transformation portfolio of a specific finance process area, support design of finance future state vision, provide project management support for cross-functional finance and accounting initiatives, assess business processes for transformation opportunities, and work with IT to define finance systems strategy. Bachelor's degree and 6+ years of relevant professional experience required.
Join CrowdStrike as a Sr. Financial Analyst II - Revenue to drive financial modeling, forecasting, and scenario planning. Support month-end financial activities, develop executive presentations, and partner with cross-functional teams for financial data accuracy. Requires 4-6+ years of experience in finance/strategy/sales ops roles with a strong knowledge of SaaS finance metrics and excellent analytical skills.
Manage financial planning systems and operations at a high-growth SaaS company, partnering with cross-functional teams to drive strategic decision-making and efficiency improvements.
Manage financial planning systems and operations, develop technical solutions, optimize processes, and support strategic decision making. Collaborate with cross-functional teams to drive efficiencies and streamline operations.
Manage financial planning systems and operations at a high-growth SaaS company, optimizing strategic decision-making and driving efficiencies. Collaborate with cross-functional teams to improve processes and workflows and lead long-term system enhancements.
Lead, Finance - Modeling & NPD responsible for creating financial models and evaluating new product development. Requires 5+ years of experience in financial analysis and Excel modeling. Additional qualifications include a Master's in Business Administration, CMA/CPA, and knowledge of Python, SQL.
Carrot Fertility is seeking a detail-oriented Staff Accountant with 2+ years of accounting experience to join their finance team. The role involves daily financial transactions, reconciliations, and supporting the overall finance function with strong attention to detail and accuracy.
Carrot Fertility is seeking a strategic and experienced Director of FP&A to lead the growing FP&A function. The individual will be responsible for budgeting, forecasting, managing the full P&L, and serving as a strategic business partner throughout the organization. Key responsibilities include providing strategic leadership, developing financial planning processes, mentoring a team, overseeing financial models, generating reports, collaborating with cross-functional teams, and leading forecasting and budgeting processes.
The Senior Payroll Tax Analyst is responsible for ensuring the Company’s ongoing compliance with all federal, state, and local tax laws and regulations. They analyze, research, and resolve tax issues, specialize in payroll regulatory compliance, and work on various initiatives with internal departments.
The Principal Associate, Treasury Accounting at Capital One will be responsible for timely preparation of month-end journal entries, balance sheet account reconciliation, portfolio reporting, SEC and Regulatory reporting, and compliance with accounting policies. The role requires at least 3 years of experience in Accounting, Audit, or Finance, including 2 years of supervisory experience.
Provide financial support for the FP&A Tech Strategy Finance team, including developing methodologies and processes, analyzing financial results, and supporting new initiatives. Responsibilities include financial analysis & reporting, budgeting, forecasting, P&L management, executive business presentations, and ad-hoc projects. Basic qualifications include a Bachelor's Degree, 4 years of financial analysis experience, 4 years of financial modeling experience, and 1 year of managing a Financial Planning & Analysis function.
Seeking a highly motivated accountant to join the Controllers Group as a Principal Accounting Associate focusing on accounting, reporting, and analytics. Responsibilities include preparing and reviewing accounting-related activities, participating in special projects, and collaborating with internal and external partners. Requires strong communication, analytical, and problem-solving skills, as well as multitasking abilities. Basic qualifications include 5 years of accounting, finance, or audit experience and a Bachelor's Degree in Accounting, Finance, or Business. Preferred qualifications include CPA certification and experience in regulatory reporting.
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