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Top Remote Finance Jobs in Philadelphia, PA
The Brazil Controller will build a finance team from scratch, prepare financial reports, lead budgeting and forecasting aligned with growth objectives, optimize cash flow, ensure tax compliance, establish internal controls, and manage financial reporting for Brazil.
The Tax Planning Consultant will provide case consultation and sales support to financial representatives, analyze financial statements, review tax returns, and prepare business valuations. The role involves educating producers on advanced planning strategies and collaborating with various departments to optimize sales and service offerings.
The Tax Manager will oversee tax return preparation for individuals, entities, trust, and estate returns. Responsibilities include researching tax issues, developing client relationships, mentoring staff, and contributing to business development efforts.
The Payroll Specialist will ensure accurate and timely payroll for over 600 employees, reviewing timesheets, computing wages, and managing employee-related deductions. Responsibilities include compliance with tax regulations, resolving payroll discrepancies, and assisting with various payroll and financial reporting tasks as needed.
The Principal Consultant will lead ERP projects, ensuring timely and budget-compliant delivery, while managing project health, facilitating stakeholder meetings, mentoring team members, and providing professional client service. Responsibilities include workflow design, data migration, and producing status reports.
The Financial Proposal Analyst will support the Finance and Business Development teams in developing budgets, pricing models, and cost proposals for government bids while ensuring compliance and accuracy. This role demands strong organizational skills and the ability to work under tight deadlines, with a focus on financial analysis and proposal strategy.
As the Director of Finance, you will lead the financial strategy and operations, oversee budgeting, forecasting, financial planning, and analysis, and provide strategic financial insights to support executive decisions for company growth.
The Treasury Manager will oversee global treasury operations, manage daily cash flow, mitigate currency risks, maintain banking relationships, and ensure compliance with internal controls. Responsibilities include cash forecasting, optimizing intercompany cash processes, and implementing best practices for cash management.
The Financial Controller will manage day-to-day accounting operations, oversee finance initiatives, and lead accounting functions including budgeting, audits, and month-end close processes. The role involves financial reporting and liaising with key business relationships, requiring strong analytical and problem-solving skills in a high-growth environment.
The Senior Manager of Rebate Analytics will manage Rightway's rebate program for PBM clients, oversee compliance with reporting requirements, and develop forecasting models. They will analyze data to identify trends and optimize rebate opportunities, ensuring accuracy and compliance, while collaborating with internal teams to report on rebate performance.
Top remote Companies in Philadelphia, PA Hiring Finance Roles
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