Top Finance Jobs in San Diego, CA
Seeking a detail-oriented Finance & Accounting Administrator to maintain financial processes, support various finance functions, and ensure accuracy in financial statements. Responsibilities include managing Purchase Order processes, reconciliation, pricing setup, and training on financial systems.
The Senior Accountant will manage accounts receivable, accounts payable, and treasury transactions, review and reconcile general ledger accounts, process journal entries and monthly reconciliations, assist in financial statement preparation, and track revenue recognition for customer projects.
The Staff Accountant will assist the Accounting Manager with financial tasks, maintain financial records, perform bank reconciliations, handle accounts receivable, prepare financial statements, ensure compliance, and support audits.
The Director of Financial Planning & Analysis at Wpromote leads the FP&A function, providing strategic insights and recommendations to enhance financial performance. Responsibilities include managing budgeting, forecasting, and financial modeling while collaborating with senior leadership.
The Senior Tax Manager is responsible for US GAAP and IFRS tax accounting, including preparing quarterly provisions and annual tax disclosures. The role requires developing tax accounting policies, improving the global tax provision process, and maintaining relationships with auditors and tax authorities. Strong organizational and communication skills are essential.
The Accounting Operations Manager oversees all accounting operations including accounts payable and receivable, payroll, month-end closeout, reconciliation, and state compliance. They collaborate with various teams to maintain the general ledger and ensure compliance with relevant standards, helping to create efficient processes and improve overall service delivery.
As the Financial Systems Manager, you will oversee the strategy and execution of financial systems, acting as the lead administrator and developer. Your role involves collaborating with finance and cross-functional teams, enhancing automation, streamlining financial processes, and supporting international expansion through effective systems management and optimization.
The Tax and Treasury Operations Manager will oversee tax compliance, treasury operations, and accounts payable functions. Responsibilities include managing federal and state tax reporting, monitoring tax law changes, managing cash and investments, and improving financial processes. The role also involves leading accounts payable and ensuring the accuracy of vendor invoicing and payments.
Looking for an experienced finance professional to join the revenue planning and analysis function. Responsible for maintaining and improving revenue forecast models, supporting annual planning cycles, investigating variances, defining key revenue drivers, and creating ad-hoc analyses to drive business strategy.
As a Staff Accountant II, you will manage financial transactions, ensure accurate cash flow, develop process documentation, track payment flows, and contribute to financial reporting and compliance. Collaboration with product and engineering teams to improve systems will also be a key responsibility.
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