Top Finance Jobs in San Francisco, CA
The Accounting Associate will handle month-end close tasks including journal entries and reconciliations, support day-to-day financial operations, manage projects, and collaborate cross-functionally to provide accurate financial information. A strong understanding of US GAAP, advanced Excel skills, and previous public accounting experience are required.
Foundational member of Business Technology team responsible for analyzing business processes, implementing solutions for Accounting and Finance teams, and staying current with Finance technology trends.
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.
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The Senior ML Modeler will develop batch and real-time machine learning solutions for assessing financial crime risk, ensuring effective data leveraging and regulatory compliance, while leading ML practices and team culture. The role involves collaborating with cross-functional teams to enhance workflow and investigative tools.
As the Assistant Controller at Grammarly, you will oversee accounting operations, supervise financial reporting, implement automation improvements, ensure compliance with accounting standards, and prepare for the IPO process. You will partner with various teams and lead a multi-location accounting function, driving strategy and budget management.
As a Senior Accountant, you will manage month-end close processes, prepare journal entries, analyze financial results, ensure compliance with GAAP, and contribute to process improvements. You will collaborate with finance and accounting teams, assist in audits, and lead various projects to enhance operational efficiency.
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.
As a Staff Accountant, you will prepare monthly analyses of general ledger accounts, maintain accurate financial records, process accounts payable and receivable, handle vendor inquiries, prepare audit documentation, and perform ad hoc reporting and analysis to support financial operations at Check.
The Senior Financial Analyst will drive revenue forecasts, analyze performance metrics, communicate findings to finance leadership, collaborate with Sales & Marketing, and support Investor Relations. This role focuses on building a strong financial forecasting and reporting function in a fast-growing tech company.
The Outsourced Controller is responsible for general ledger preparation, reconciliation, month-end close, financial reporting, and client relationship management in the gaming industry. Travel to client sites is required. Bachelor's degree in Accounting/Finance and 3+ years of experience are necessary.
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