Top Hybrid Finance Jobs in San Francisco Bay Area
The Senior Treasury Manager at Canva will be responsible for global cash management activities, bank account administration, investment strategies, and leading treasury integration efforts. They will also play a key role in process improvement, automation initiatives, and collaborate on ad hoc treasury projects. The ideal candidate should have 8+ years of experience in international treasury operations and a Bachelor's degree in finance or a business-related field.
Foundational member of the Business Technology team at Notion responsible for building the G&A tech stack, analyzing processes, implementing solutions in Accounting, Finance, and Legal Operations, and staying current with industry technology.
As the Director of Payroll, you will be responsible for overseeing and managing all aspects of payroll operations for our company. This role requires a seasoned professional with comprehensive experience in handling both US and Canadian payroll processes, including expertise in stock compensation.
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Manage financial planning process for US payments processing business, apply risk expertise to forecast risk loss and provide strategic insights, partner with Industry Relations team for deal negotiation, create analyses for decision-making, collaborate with various teams to understand business drivers.
Join the Finance, BizOps & Strategy (FBOS) team at Gusto as part of the Emerging Finance team. Lead financial planning, business operations, and strategic decision-making for the company's nascent businesses. Drive best-in-class Financial Planning & Forecasting practices and manage operational revenue and expense models. Support key corporate reporting requirements and partner with Corporate Development to evaluate and incubate new businesses. Requires 8+ years of relevant work experience in Corporate Finance / Finance & Strategy, BizOps with Operational SaaS experience.
The Investor Relations and Market Insights Manager at ServiceNow is responsible for executing the investor relations program, communicating the company's strategy and financial results to the financial community, and analyzing financial research and trends. This role involves collaborating with various teams to craft messaging, supporting earnings calls and investor presentations, traveling to conferences, analyzing business metrics, conducting competitive analysis, and identifying opportunities for process improvement.
Seeking an Accounting Manager with valuation experience to focus on recurring valuation and measurement of financial instruments. Responsibilities include managing quarterly valuation, liaising with auditors, preparing journal entries, and collaborating with stakeholders. Requires 3-5+ years of post-graduate experience and a degree in Accounting, Finance, or Economics.
The Senior Cost Accountant at GRAIL supports the cost accounting department on day-to-day inventory and cost of goods sold activities. Responsibilities include financial close processes, account analysis, product cost calculation, internal controls maintenance, and collaboration with various departments. Preferred qualifications include 5+ years of accounting experience in manufacturing or life sciences, a degree in Finance or Accounting, and experience with NetSuite and Google Workspace.
Manage financial planning process for US payments processing business, apply subject matter expertise of risk vectors, partner with Industry Relations team, create analyses for decision-making, collaborate with various teams, work with SQL databases to understand business relationships.
Manage the development of the company's budget and related KPIs, provide key insights on financials to leadership, support strategic business decisions, and lead finance staff buildout. Requires Bachelor's degree in finance or related field, 4+ years of finance experience, attention to detail, and data-driven problem-solving skills.
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