Top Hybrid Finance Jobs
The Vice President of Strategic Data and Financial Analysis will lead cross-functional teams to prioritize strategic programs through data-driven insights and financial analysis. Responsibilities include overseeing budgeting, conducting market assessments, leading strategic planning processes, developing financial models, and fostering collaboration among business leaders.
The Senior Financial Analyst will lead program controls, manage project financial performance, and ensure compliance with federal regulations. Responsibilities include cost monitoring, forecasting, and providing critical financial reports and analyses to stakeholders. This role also involves supporting audits and guiding finance analysts.
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.
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The Assistant Controller will oversee daily accounting functions, assist in preparing annual budgets and forecasts, and ensure compliance with regulations. Responsibilities include managing staff accountants, preparing financial statements, reconciling accounts, and monitoring expenditures related to tooling and assets.
The Finance Director for Sales Finance is responsible for leading financial strategies within the Sales Area, collaborating with sales leadership, overseeing financial plans, and ensuring the profitability of initiatives while developing the financial team and sharing insights across the organization.
As the Manager of Strategic Finance, you will shape strategy and business decisions, partner with various teams, analyze data to optimize performance, and present actionable insights to senior leadership. You will also track key performance metrics and develop materials for stakeholders, contributing to revenue and audience growth in a dynamic environment.
The Senior Manager, Accounting will oversee day-to-day accounting operations, manage high volumes of transactions, and develop financial reporting processes. Responsibilities include handling accounts payable/receivable, coordinating payroll, preparing financial reports, and ensuring compliance with tax regulations. The role requires effective collaboration with senior management and the fractional CFO to enhance the accounting function in a high-growth environment.
As an Investment Strategy Associate, you will design and execute customized investment strategies, focusing on passive and public multi-asset portfolios. You will conduct portfolio analysis, work with various teams to innovate investment solutions, and prepare reports and visualizations for clients. Strong quantitative skills and experience with risk modeling are essential.
The Manager of Financial Reporting is responsible for creating month-end working papers, reviewing financial statements, preparing position papers on accounting policies, participating in new business initiatives, managing consolidations, and mentoring senior accountants, all while ensuring quality and meeting deadlines.
The Financial Analyst II role involves supporting the Finance team in corporate finance initiatives, including financial planning, capital budgeting, and reporting. Responsibilities include analyzing data, preparing financial models and reports, assisting in financing transactions, and creating presentations for management and investors. This position is highly collaborative and involves cross-functional work with executive management, focusing on operationalizing change and monitoring financial performance.
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