Top Remote Finance Jobs in Cleveland, OH
The Payroll and AP Accountant will handle bi-weekly payroll processing, payroll journal entries, and maintaining relevant files. They will also review and process accounts payable requests, verify documentation, and support month-end financial close. Additional responsibilities include cross-training and performing other assigned tasks.
The Sr. Director, Assistant Controller will oversee accounting operations, ensure compliance with regulations, manage month-end closings, and produce financial reports. This role requires effective communication with senior management and coordination with external auditors while improving accounting processes and leading a competent accounting team.
The Controller will manage all financial and accounting activities, oversee reporting, and ensure compliance with regulations, while developing budgets and forecasts. They will lead the accounting team and provide strategic support to the executive team to enhance the company’s financial health and growth.
The DEXIS Sales and Financial Analyst is responsible for maintaining and analyzing data to track performance and support sales operations. This includes managing data quality across systems, creating compensation statements, analyzing sales data, and preparing reports for forecasts and target settings.
As a User Risk Standards Strategist at Stripe, you will develop risk standards, drive risk appetite decisions, and partner with cross-functional teams to enhance user experience while balancing risk. Your role includes assessing risk performance, engaging with external partners, and executing special projects to support business growth and product launches.
The Financial Analyst will support financial planning and consolidation, develop and monitor budgets, update forecast models, and provide analysis for senior management. The role requires collaboration with business partners, month-end closing activities, and the improvement of internal processes using financial systems knowledge.
The Associate will provide key support to the Director of Finance for managing private equity funds, focusing on finance, accounting, and operations tasks including treasury management, vendor payments, capital calls, and year-end audits.
The Senior Manager, Revenue will develop strategic analysis and financial management, maintain and enhance the revenue model, and collaborate with cross-functional teams for accurate forecasting of customer acquisition and retention. This role involves leading projects, communicating findings, and providing insights for strategic business decision-making.
The Accounting Operations Manager oversees daily accounting operations, ensuring accuracy in cash applications and payment processes, facilitating communications in the Order-to-Cash cycle, and leading a team of specialists. The role involves analyzing performance metrics, streamlining operations, and ensuring compliance with financial regulations.
The Accounting Manager will manage day-to-day accounting operations, drive advancements in processes using technology, and develop strategies for a fast-growing software business. Responsibilities include collaborating with sales and management, assisting the Controller, and focusing on ASC 606 compliance.
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