Top Remote Finance Jobs in Las Vegas, NV
The Accounting Manager will oversee the accounting department, manage a team, ensure accurate financial reporting, and improve accounting processes. Key responsibilities include preparing journal entries, conducting reconciliations, and performing ad hoc analyses.
The Staff Accountant at Kard will manage core financial tasks, oversee the billing cycle, accounts receivable and payable, and ensure compliance with GAAP. This role involves preparing financial reports, supporting audit processes, and streamlining financial workflows in collaboration with teams to improve efficiency.
As a Senior Accountant at Aspire.io, you will maintain the financial health of the organization by managing accounting operations, ensuring compliance with accounting standards, and improving existing processes. You will oversee sales contract reviews, revenue recognition, general ledger management, financial reporting, commission calculations, and support audits while mentoring others and collaborating with cross-functional teams.
The Finance Manager oversees financial operations including the preparation of financial statements, budgeting, forecasting, and managing GL, AR, and cash management. This role partners with operations to support financial performance and compliance with policies, while providing timely financial analysis.
The Senior Accountant will manage accounting functions, prepare financial statements in accordance with GAAP, oversee the general ledger, conduct reconciliations, assist in budgeting and forecasting, ensure compliance with regulations, and provide mentorship to junior staff.
Seeking a talented leader to build and lead a close and consolidations function, drive automation initiatives, maintain internal controls, and lead high-priority initiatives across accounting teams. Responsible for financial close applications, intercompany accounting, and month-end close cycle activities.
The Staff Accountant will assist the accounting team with daily operations related to inventory and cost of goods sold, including handling vendor bills, matching purchase orders to invoices, and ensuring accurate inventory valuation. Responsibilities also include completing reconciliations, participating in month-end closings, reporting on margins and sales, and assisting with audits and internal controls.
The Head of FP&A will lead the financial planning and analysis team, develop forecasting and financial strategies, prepare executive reports, collaborate with departments for financial support, and drive business performance discussions, all while supporting Varo's expansion strategy and initiatives.
The AVP, Commercial Actuarial will lead the development of rating plans and predictive modeling for commercial insurance products, oversee a team, conduct competitive analysis, support compliance, and collaborate with various departments to optimize profitability and growth.
The Tax Manager will oversee tax compliance, treasury operations, and accounts payable. Key responsibilities include managing federal and state tax reporting, optimizing the company's tax position, and leading treasury processes while ensuring accurate vendor payments and financial reporting. The role involves cross-functional collaboration to drive process improvements.
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