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Top Finance Jobs in New York City, NY
As a Finance Manager at Pair Team, you'll lead budgeting, forecasting, and planning processes, oversee accounting operations, manage the revenue cycle, and present financial analyses to stakeholders. This role requires a self-starter with strong analytical skills and experience in a startup revenue environment, particularly in healthcare.
The Payroll Manager oversees payroll procedures, ensuring compliance with laws and company policies, while processing US and Canadian payrolls. Responsibilities include managing payroll records, responding to inquiries, preparing journal entries, and administering year-end procedures and audits.
As an Assistant Controller, you will oversee daily accounting operations, manage monthly and year-end close processes, ensure compliance with internal controls, and lead the accounting team. You will analyze financial data, assist the Global Controller in reporting, and provide guidance on accounting standards.
The Senior Financial Analyst, FP&A will support business units by providing financial insights, leading budgeting and forecasting processes, analyzing SaaS metrics, and preparing financial performance reviews. This role emphasizes collaboration with various departments to align financial forecasts with business objectives and improve financial reporting processes.
The Senior Tax Manager manages income tax matters and implements tax strategy for North America. Responsibilities include overseeing tax compliance, advisory, risk management, and governance. The role also involves auditing and defending tax positions, developing tax strategies, and leading the tax team for skill enhancement and succession planning.
The Senior Manager, Corporate FP&A at Cohesity will provide financial insights to drive corporate decision-making. Responsibilities include revenue outlook production, assessing the impact of initiatives, improving reporting processes, and collaborating with cross-functional partners. The role requires strong analytical skills and expertise in financial management, particularly within a technology-focused organization.
The FP&A Analyst will assist in preparing budgets, forecasts, and long-term financial plans, conduct variance analysis, create financial models for performance forecasting, and analyze financial data to identify cost savings and growth opportunities. The role includes preparing financial reports, supporting strategic financial initiatives, and improving financial processes.
As an Accounting Specialist, you'll support clients with invoicing, bill reviews, financial reporting, and collaboration with the team to meet client needs. This role is focused on flexibility within a fast-paced and team-oriented culture.
The role involves providing remote consulting services as a CPA, focusing on technical accounting issues, particularly ASC 606 and ASC 842, assessing transactions, and drafting technical memos. Candidates should have significant experience in auditing and advising on these standards with the flexibility to choose projects.
The Accounting Manager will oversee daily inventory, accounts receivable, and general ledger operations. Responsibilities include managing inventory cycles, reconciliations, monthly closings, and supporting systems implementation and audit readiness. They will collaborate with various teams to enhance accounting processes and ensure compliance with GAAP.
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