Top Remote Finance Jobs in San Francisco, CA
As a Staff Accountant, you will prepare monthly analyses and reconciliations of general ledger accounts, maintain financial records, process accounts payable and receivable, handle vendor inquiries, and assist in audits, contributing to the financial integrity of Check.
As a Senior ML Modeler, you will develop batch and real-time machine learning solutions to assess financial crime risks across global markets. You will collaborate with stakeholders, ensure effective use of data, produce regulatory-compliant documentation, and enhance team culture and direction while maintaining and building production software.
The Treasury Manager will oversee corporate cash and liquidity while collaborating with finance teams for forecasting and compliance. Responsibilities include managing cash reconciliation, financial arrangements, capital markets activities, and generating reports for compliance and management. They will also optimize capital structure and manage risks within the investment portfolio.
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This role involves leading the development of digital experiences in financial services, particularly in insurance. The Senior Manager will manage teams to strategize, design, and implement technical solutions, ensuring effective communication and stakeholder management while upholding the firm's ethical standards.
As the Financial Planning & Analysis Partner, you will support the Marketing Organization by driving monthly financial close, forecasting, and planning processes. You will develop financial metrics and create data-driven analyses to support decision-making for leadership while collaborating cross-functionally with the marketing and communications teams.
The Director of Corporate FP&A will lead the financial planning processes, manage budgets, and maintain quarterly forecasts. Responsibilities include partnering with various teams for operational planning, reporting to the board, and mentoring a finance team to optimize revenue performance through strategic analysis and management.
The Care Tax Expert will assist customers with payroll tax issues over phone and email, resolve inquiries, update tax account information, and collaborate with various teams to ensure accurate payroll tax filings and improve customer experience.
The Senior Manager, Strategic Finance & Operations at Deputy will provide financial guidance to support decision-making, drive outcomes, and execute growth initiatives. Responsibilities include preparing presentations for executives, developing financial models, conducting scenario analyses, and collaborating with the Finance Leadership to deal with strategic matters. The role requires strong analytical skills to manipulate data and generate actionable insights for various teams.
The Director of R&D Strategic Finance will lead the development of financial strategies for the Research & Development organization, create detailed financial models, develop investment cases, and engage with cross-functional teams to communicate financial insights, all while building the R&D Finance function from the ground up.
The Accounting Manager will manage daily accounting operations including general ledger, accounts payable, and financial reporting. Responsibilities include overseeing audits, preparing tax packages, and mentoring staff, while ensuring compliance with company policies and timely financial reporting.
About Us:
Our holding company is managing both the Endpoint and Fortrea Patient Access businesses. Endpoint is an interactive response technology (IRT®) systems and solutions provider that supports the life sciences industry to help sponsors and pharmaceutical companies achieve clinical trial success. Fortrea Patient Access is a hub services provider that supports patients as they seek to secure reimburse...
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