Top Hybrid Finance Jobs
The Senior Revenue Accountant will support new business model solutions, handle SKU setup for proper accounting, ensure compliance with US GAAP and ASC 606, participate in month-end close processes, and collaborate with cross-functional teams to enhance revenue accounting processes.
The Finance Manager will oversee the financial planning and analysis process, manage budgets, develop financial models, analyze performance, and support strategic decision-making. This role includes preparing financial reports, leading a team, and ensuring compliance with financial policies.
The Manager of Financial Planning and Analysis leads the financial planning process, develops complex financial models, analyzes financial performance, and collaborates with cross-functional teams to provide actionable insights for strategic decision-making. This role also involves presenting financial reports to senior management and supporting business strategies with financial analysis.
The Program Finance Manager at The Aerospace Corporation manages financial processes, including budgeting, forecasting, and establishing metrics. Acting as a financial advisor, this role collaborates with senior leaders and manages government customer interactions to ensure funding and compliance while optimizing financial strategies and tools.
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The Financial Analysis Release & Event Management Associate will support the firm's forecasting products by managing release/event activities, coordinating with technology teams, communicating with stakeholders, and facilitating testing and documentation processes. The role requires collaboration and effective communication skills to liaise with end users and senior management.
The Senior Associate will support financial processes including budget, forecasting, and reporting while collaborating with teams to enhance financial management solutions. Responsibilities include data integrity, strategic analysis, and presenting insights to senior management to drive financial efficiency and effectiveness.
The Manager, Financial Planning & Analysis will support the Finance team by managing operating costs, modeling business performance, and implementing new processes to facilitate growth. The role focuses on improving financial analysis and business modeling within the healthcare sector while fostering relationships within the organization.
The Manager, Financial Planning & Analysis will support the Finance team in managing operating costs, modeling business performance, and implementing systems to aid Strive's growth. This role involves enhancing financial acumen and understanding of healthcare while building relationships across the organization.
The role involves managing complex tax accounting projects, preparing federal, state, and local tax records, and providing guidance to junior staff. Additionally, it includes the interpretation and dissemination of tax-related information to management.
As a High Net Worth Tax Planning Consultant, you will collaborate with CPA team members to design and implement financial plans for high-net-worth clients. You will analyze clients' financial situations, provide recommendations, and assist in delivering comprehensive financial solutions with an emphasis on tax optimization and estate planning.
As a Compliance Risk Assessment Manager at Block, you will manage the compliance risk assessment program, execute risk assessment life cycles, analyze complex compliance topics, and enhance existing risk assessment processes. You will collaborate with control owners on remediation plans and contribute to designing compliance programs tailored for leadership.
The Payroll Specialist will manage payroll processing for over 400 employees across the US, ensuring compliance with regulations, processing payroll changes related to leaves, and collaborating with vendors. The role requires maintaining accurate employee data, managing tax compliance, conducting audits, and serving as a point of contact for employee payroll inquiries.
The Senior Treasury Analyst will support global business operations within the Treasury Business Sustain team, focusing on process improvements, controlling a strong business environment, and ensuring compliance within treasury operations. Responsibilities include overseeing treasury management systems, supporting IT interactions, and enhancing operational efficiencies through collaboration and risk management.
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