The Role
The Tax Manager is primarily responsible for providing tax support and oversight for Fidelity's alternative investment products, including U.S Partnerships funds, U.S. REITs and U.S grantor trusts, and Canadian Mutual Fund Trusts. The manager is responsible for:
Analyzing the Funds books and records to provide accurate and timely U.S. investor tax information reporting (k-1s, estimates, 1042-s etc.), Canadian fund distributions, tax returns and Canadian shareholder reporting and to ensure compliance with various Tax Agencies.
Reviewing information provided to third party service providers, tax work papers, tax returns (U.S. form 1065/K-1/K-3, 1120, 1120-F and state returns, and Canadian form T3 etc.), and other monthly, quarterly, and ad-hoc tasks.
The Expertise and Skills You Bring
Bachelor's degree or equivalent experience in Finance or Accounting
3+ years proven experience in investment management tax operations, or related tax specialty strongly preferred
Familiarity with tax research techniques
Broad knowledge of accounting and tax principles
Ability to embrace and adapt to a constantly evolving regulatory and technology environment
Ability to work in a collaborative environment
Comfortable in a fast paced, deadline-oriented environment
Interpersonal and time management skills
Flexibility to work overtime (as needed) to fulfill the job requirements
Tax experience with Real Estate Investment Trust, private credit funds, Private Equity fund of funds, Regulated Investment Company and/or Canadian mutual fund a plus
Experience with accounting platforms InvestOne, Geneva, and Yardi a plus
The Team
The Tax Manager role is part of the Tax Operations team within the Fidelity Fund Investment Operations business unit. The primary responsibilities of the team include providing tax compliance services for US 40-Act mutual funds, Canadian mutual fund trusts, and alternative investment products. The Tax Operations team works closely with several different operations teams and internal business partners including Shareholder Reporting, Compliance, Legal, and Fund Treasury.
#Fidelityalts
#FFIOALTS
Certifications:Category:Investment Operations
Most roles at Fidelity are Hybrid, requiring associates to work onsite every other week (all business days, M-F) in a Fidelity office. This does not apply to Remote or fully Onsite roles.
Please be advised that Fidelity's business is governed by the provisions of the Securities Exchange Act of 1934, the Investment Advisers Act of 1940, the Investment Company Act of 1940, ERISA, numerous state laws governing securities, investment and retirement-related financial activities and the rules and regulations of numerous self-regulatory organizations, including FINRA, among others. Those laws and regulations may restrict Fidelity from hiring and/or associating with individuals with certain Criminal Histories.
$74k-94k yearly est. 1d ago
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Sr Analyst, Financial Crimes Digital Asset Surveillance
Fidelity Investments 4.6
Finance director job in Westlake, TX
Job Description:Sr Analyst, Financial Crimes Digital Asset SurveillanceThe Role
Providing leadership and guidance to other surveillance personnel is paramount in this role. In addition, the role also requires candidates to build positive relationships with business partners in the following groups: Fidelity Digital Assets (FDA), Fidelity Personal Investments (FPI), Workplace Participant Services (WPS), National Financial (NF), IWS (Fidelity Institutional Wealth Services), Fidelity Family Office Services (FFOS), FMR Legal, Financial Crimes Compliance Program Office, Investigations, Credit/Market Risk, and others.
The Expertise and Skills You Bring
College degree or 4+ years of experience in the financial services industry
2+ years of risk related experience
Knowledge of digital assets, understanding how wallets work and being able to interpret blockchain transactions
Adaptable to an evolving industry
Excellent written and presentation skills
Ability to handle several tasks in a fast-paced environment
Knowledge of Fidelity systems including Green Meadow, FocusPoint, FBSI, XTRAC, CACTUS, FDOT, Salesforce etc.
Understanding of financial transactions and trading markets and operations
FINRA Series 7 preferred
Knowledge and/or prior experience with IWS, NF, FFOS, PI is a plus
Previous AML or compliance background
Proactively identify areas of high risk exposure and develop efficient and effective solutions to minimize those risks
Exercise good judgment and demonstrate outstanding decision making skills to prevent or mitigate risk
Passion for collaboration, and building strong working partnerships
Ability to balance customer service with sound business judgment
Strong time management, prioritization, and organizational skills
Proficient PC skills [Microsoft Excel, Microsoft Word, etc.]
Understand corporate entity structures and offshore accounts
Conduct and coordinate ad-hoc research requests
Note: Fidelity is not providing immigration sponsorship for this position
The Team
The Financial Crimes Digital Asset Surveillance group within Fidelity Legal Risk and Compliance plays a vital role in helping the firm meet its overall AML obligations through the Bank Secrecy Act. There are thousands of transactions that occur every day across all of Fidelity's business units. The Financial Crimes Surveillance team analyzes these transactions using internal and vendor applications in an effort to detect, stop, and call out suspicious activity. We also review “high risk” customers and entities based on the Customer Due Diligence (CDD) rule from Fincen (Financial Crimes Enforcement Network).
Certifications:Category:Compliance
Most roles at Fidelity are Hybrid, requiring associates to work onsite every other week (all business days, M-F) in a Fidelity office. This does not apply to Remote or fully Onsite roles.
Please be advised that Fidelity's business is governed by the provisions of the Securities Exchange Act of 1934, the Investment Advisers Act of 1940, the Investment Company Act of 1940, ERISA, numerous state laws governing securities, investment and retirement-related financial activities and the rules and regulations of numerous self-regulatory organizations, including FINRA, among others. Those laws and regulations may restrict Fidelity from hiring and/or associating with individuals with certain Criminal Histories.
$69k-93k yearly est. 1d ago
Finance Manager
Optimize Search Group
Finance director job in Plano, TX
Optimize Search Group has partnered with a multi-billion dollar company in North Dallas that is seeking an Finance Manager due to growth. The manager will assist in driving the FP&A function and will also work very closely with regional operators in the field. This is both a high visibility and high growth role and they're looking for someone who can both assist in building the team and who can promote in the coming years. This could be a new manager or a strong Senior Analyst to make the jump to manager. This comes with a strong work/life balance, a flexible schedule (3 days in-office / 2 days remote), and a strong career path.
Finance Manager
5+ years of broad corporate finance (FP&A or Ops)
Experience supporting sales and field finance (sales and margin analysis required)
Multi-unit forecasting expereince required
Executive level polish and communication and ability to effectively communicate with non-financial stakeholders
The need is immediate - interested candidates please send resumes to:
Matt Marmaro
***************************
Financial Controller - Engineering/Technology Services - High Growth Transformation - Private Equity
Our client is an innovative and well-established provider of tech-enabled engineering services supporting the energy, environmental and industrial end markets with multi-location field-based services supporting a national customer base. The company is backed by a leading private equity sponsor focused on professionalizing operations and driving significant revenue growth through acquisitive and organic means.
The mandate for the new Controller is to execute on the transformation of the finance function to support the new business operating structure and to integrate diverse units brought together through acquisition. You will have full responsibility for financial reporting as a strategic partner to the CFO and will be responsible for managing financial reporting and metrics across a multi-location, distributed business model. As a strong people manager and “in the trenches” leader you will be called upon to implement best practices in the accounting function and to recruit and augment a high-performance team in an aggressively forward-moving culture. The ideal candidate will have a strong base of experience leading multi-unit, multi-location operations with demonstrated success building and developing the finance and accounting functions and teams in a growing and transforming, fast-paced entrepreneurial environment. It will be an asset if this person has a CPA and has spent time in public accounting before moving into industry roles.
This is a challenging and rewarding growth opportunity working with a leading private equity investor looking to take an already successful enterprise and grow it to the next level. A competitive base salary and bonus incentive is offered.
$83k-128k yearly est. 3d ago
Director of Financial Planning and Analysis
Stevendouglas 4.1
Finance director job in Dallas, TX
Director of FP&A
StevenDouglas has partnered with a construction company that is looking for a Director of FP&A.
This role is based near Addison and is fully in office.
The Director of FP&A will lead all financial planning and analysis efforts for the division, including budgeting, forecasting, and internal reporting. This role ensures financial integrity through adherence to GAAP and company policies, while also supporting operational effectiveness across the division. This position will partner closely with divisional leadership to drive performance, provide insights, and support strategic initiatives, including M&A activities. The ideal candidate is analytical, detail-oriented, and comfortable collaborating with both finance and operational teams.
Key Responsibilities
Lead the creation and maintenance of divisional business plans, budgets, and forecasts
Ensure accuracy and compliance in financial reporting in accordance with GAAP and internal policies
Support cost control efforts and provide financial oversight across the division
Analyze margins, prepare pricing proformas, and evaluate financial performance
Assist in the administration and oversight of sales contracts
Support strategic decision-making with accurate and timely financial analysis
Collaborate with leadership to drive divisional growth and profitability
Engage with investors during project due diligence and underwriting
Facilitate timely accruals and manage trailing costs
Qualifications
Bachelor's degree in Finance
10-15 years of relevant Finance experience
Homebuilding, Construction, Building Component or Manufacturing Industry experience
$87k-125k yearly est. 4d ago
Senior Finance Manager
G.A. Rogers & Associates 3.8
Finance director job in Farmers Branch, TX
G.A. Rogers & Associates has partnered with a North Dallas construction subcontractor to identify a Finance Leader to join their growing team.
Are you an experienced finance professional who values collaborative leadership, autonomy and seeing the impact of your work? This role offers the chance to step into a trusted leadership position within a stable 1B+ organization!!
This is a direct hire opportunity with impeccable benefits, competitive compensation and showcases a long-term career path with promotion.
How You'll Spend Your Time
Become fluent in how operations function day to day - labor, materials, schedules, constraints, and trade-offs.
Act as a trusted financial counterpart to leaders who are making real-time decisions.
Frame insights in ways that drive action, not debate.
Diagnose what's really driving results - not just what shows up in reports.
Convert dense financial and operational data into clear priorities.
Bring structure to ambiguity and challenge assumptions when the numbers don't line up with reality.
Strengthen how costs are tracked, decisions are documented, and dollars are accounted for.
Identify where processes leak time, money, or clarity - and fix them.
Improve consistency across systems so leaders can trust what they're seeing.
Define standards that scale, not workarounds that break.
Design indicators that reveal momentum early - good or bad.
Connect field activity to financial outcomes in a way that feels obvious once seen.
Clarify where profit is earned, where it erodes, and why.
Lead planning cycles that actually influence behavior.
Build forecasts that adapt as conditions change instead of becoming outdated artifacts.
Present forward-looking views that help leaders choose paths, not defend the past.
Develop people, not dependencies.
Set clear direction, remove friction, and raise the bar without noise.
Help others understand how their work fits into something larger.
Leave teams and processes stronger than you found them.
What You Bring
A track record of financial leadership in environments where work is physical, variable, and execution-driven.
Experience guiding teams with mixed strengths and backgrounds.
Confidence to influence without relying on title.
Comfort operating where not everything is finished or documented - and the discipline to improve it.
Strong analytical instincts and the technical skill to support them (advanced Excel/Sheets required; modern analytics tools welcome).
A bias toward building things that last.
Background That Fits
8-10+ years in financial planning, performance management, or operational finance.
Exposure to construction, mechanical services, or another project- or labor-driven industry.
Direct involvement in improving visibility into cost, margin, and performance.
$96k-133k yearly est. 3d ago
Finance Manager
It Goat
Finance director job in Dallas, TX
Why IT GOAT?
At IT GOAT, we don't just work - we take ownership. Every team member is empowered to lead, make decisions, and drive results. Our culture is built on accountability, teamwork, and an unrelenting commitment to excellence.
We're looking for someone who thrives in a fast-paced environment, communicates with confidence, and takes pride in every task - big or small. If you believe in getting things done, staying organized, and being the person others can rely on, you'll fit right in here.
Why IT GOAT is the best place to work?
At IT GOAT, we believe success starts with our people. We hire those who take ownership of their work, support their teammates, and continuously strive to grow. In return, we invest deeply in our team - providing the tools, benefits, and environment to help every employee thrive both personally and professionally.
Here's why IT GOAT stands out as one of the best places to build your career: Competitive Pay, 401k, Paid time off, Comprehensive Health Insurance, Professional Growth and Development are just a few.
Our headquarters in Dallas, TX is where collaboration, innovation, and energy come together. We work in person because we believe strong teams are built face-to-face - through trust, communication, and shared goals.
Job Description:
We're looking for a hands-on Finance Manager to own our accounting and billing function end-to-end. This role blends day-to-day billing, AR, and month-end responsibilities with process improvement. You will oversee a junior AR/Billing resource and work cross-functionally with Sales, Service Delivery, and Leadership.
Key Responsibilities:
Billing & Revenue Operations
- Manage the monthly billing cycle for recurring services, projects, and one-time work.
- Ensure MSAs, SOWs, and change orders are accurately reflected in systems.
- Implement billing controls and run exception checks prior to invoicing.
- Reconcile user counts, licenses, and devices against vendor portals and the PSA.
Accounting & Month-End Close
- Oversee daily accounting tasks, delegating appropriately.
- Complete reconciliations and manage a timely month-end close.
- Coordinate with external CPA for year-end and compliance.
Reporting & Insight
- Produce reporting on MRR, churn, gross margin, credits/write-offs, and other KPIs.
- Provide leadership with clear financial visibility to support decision-making.
Process Improvement
- Improve workflows between Sales, vCIO, Service Delivery, and Finance.
- Ensure service changes and client adjustments are captured before billing cycles.
Team Leadership
- Lead and develop the AR/Billing Clerk.
- Build a culture of accuracy, accountability, and process ownership.
SUCCESS LOOKS LIKE
- 99%+ of invoices are correct the first time.
- A reliable month-end close process is consistently executed.
- Leadership receives clear, actionable reporting.
- Billing-related client issues materially decrease.
REQUIREMENTS
Must-Haves:
- 5+ years of accounting/finance experience, including AR, billing, and close responsibilities.
- Experience in recurring revenue (MSP, SaaS, telecom, or similar).
- MSP or IT services finance experience.
- PSA experience (ConnectWise, Autotask, Halo).
- Strong systems skills: QuickBooks (or similar) and PSA comfort.
- Strong Excel/Sheets skills.
- High attention to detail and process orientation.
Nice-to-Haves:
- Bachelor's degree in Accounting or Finance.
- CPA/CMA (optional).
COMPENSATION & BENEFITS
- Competitive salary based on experience.
- Performance-based bonus potential.
- Benefits package (health, dental, vision, PTO, etc.).
- Opportunity to grow into a senior finance leadership role as IT GOAT scales.
Qualifications
Competitive base + uncapped commission
Health, dental, and vision insurance
401(k) with company match
PTO, holidays, and flexible work options
Energetic, tech-driven culture with real career growth opportunities
A brand you can be proud to represent
Benefits:
Health insurance
401(k) with company matching
Dental insurance
Flexible spending accounts
Vision insurance
Health savings account
Life insurance
On-site gym, covered parking with an onsite car wash availa
Company events
12 days earned paid time off
Company holidays
Schedule: 8-hour shift
Monday through Friday
Work Location:
Onsite at IT GOAT's Dallas Headquarters
$68k-96k yearly est. 3d ago
Finance Manager, 125K-145K
Addison Group 4.6
Finance director job in Irving, TX
Addison Group is partnered with a private-equity owned healthcare company in Irving, TX. This company is in search of a Corporate FP&A Manager that will be heavily involved in budgeting and forecasting. This role will report the the VP of Finance and work closely with executives across the company.
This position is hybrid in Irving, TX. They are typically in office 3-days per week. This role pays 125K-145K base + bonus.
Responsibilities includes:
Assist with developing revenue and expense budgets, monthly forecasts financial models and present analytics to support management team
Perform forecast and budget variance analysis in conjunction with the entire Finance team
Manage financial and operational ad-hoc reporting and analysis
Prepare and review financial variances between Actual/Budget/Forecast financial results
Provide support on the monthly close process, including review of variance analyses, key trends, and performance metrics
Lead the planning, coordination and consolidation of corporate budget/forecast as needed by the business
Continuously analyze revenue and expense drivers to incorporate trends into financial forecasts
Requirements:
Bachelors in Finance or business related degree
5+ years of FP&A experience; preferably with healthcare companies
1+ years of FP&A management experience, preferably with healthcare companies
Ability to communicate and cross functionally partner with various other departments. Ability to present to all levels of the organization including senior leadership.
If you are interested in this job or other finance and accounting career opportunities from Addison Group please email Chris Lawrie at *****************************.
$77k-97k yearly est. 1d ago
Finance Manager
Savills North America 4.6
Finance director job in Dallas, TX
About Savills
Savills is an organization full of extraordinary individuals. Brilliant people who are driven to succeed, hungry to remain at the forefront of their specialties, and eager to propel themselves, our clients, and our business forward. We are one of the preeminent commercial real estate firms with services ranging from tenant representation and project management to workplace strategy and occupant experience - showcasing the breadth and depth of our expertise.
Find your place to thrive.
No matter the role you're in, we all share one purpose: to help people thrive through places and spaces. The DNA ingrained in our business guides us on this mission, shaping the way we behave to deliver the best results. When you join Savills, our ask for you is simple:
Be extraordinary, together.
About the Role
Savills North America is hiring a Finance Manager to support its Global Occupier Services platform. This role will lead forecasting, revenue tracking and operational accounting for the Transaction Management and Project Management business lines. The position is hybrid and based in either the Tampa or Dallas office, and the ideal candidate will bring a minimum of seven years of experience in corporate finance, accounting or operations.
KEY RESPONSIBILITIES
Own yearly and quarterly revenue forecasting and the tracking of all actuals for Transaction Management and Project Management business lines
Provide presentation and board meeting support to senior management through preparation of customized financial reports and data analysis
Create, maintain, and optimize templatesand workflows to maximize operational efficiency across Global Occupier Services
Provide regular revenue and expenditure updates to internal and external clients
Oversee operational accounting processes for the Transaction Management and ProjectManagement business lines
Deliver ad-hocfinancial and operational reports to seniormanagement, providing timelyinsights to support strategic planning
Develop and maintain revenuetrackers to ensure accurateaccruals for client rebate obligations
Calculate rebates and coordinate disbursements to clients
Calculate and coordinate payment of monthly and quarterly bonuses
Drive accounts receivable
Enter deals into Salesforce, coordinate revisions, and ensure all necessary documentation is obtained and approved.
Create and track invoices, including timing of second-half submissions, and coordinate with relevant teams to ensure timely deal processing.
Monitor and track past due payments, record received payments, and complete monthly reports by liaising with various stakeholders to secure ETAs on outstanding payments.
Coordinate payments to third-party co-brokers, manage vendor setups, and handle inquiries regarding third-party payments.
Update the work in process tracker to reflect deals that need review in the weekly meeting.
QUALIFICATIONS
Bachelor's degree in Finance, Accounting, Business Administration or related disciplines
7 years of finance and/or similar operational experience
Advanced Excel skills with the ability to manage large data sets from multiple sources
Experience with PowerBI and Salesforce preferred but not required
Able to assess risk, make calls and move work forward in ambiguous or evolving scenarios
Must be detail oriented and demonstrate excellent analytical skills
Must be comfortable communicating with all levels of the organization, including the C-Suite
Ability to successfully perform under pressure and meet deadlines while managing multiple projects
Savills values a diverse work environment and is proud to be an equal-opportunity employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, gender identity or expression, sexual orientation, national origin, genetic information, disability, age, veteranstatus, or any other protectedcharacteristic. Savills participates in the E-Verify program.
$74k-100k yearly est. 1d ago
Senior Financial Analyst
Tarvos Talent
Finance director job in Dallas, TX
Tarvos Talent is partnering with a rapidly growing organization to identify a Senior FP&A Analyst for their expanding team in Dallas, TX. This newly created role was added due to company growth and offers the opportunity to work closely with leadership and investors while contributing directly to strategic initiatives that fuel the company's next stage of expansion. This role would ideally be in office 4-5 days a week but they are also open to a 3/2 hybrid schedule for the right person.
Why Work Here:
Join a highly visible position where your insights, models, and recommendations directly influence company-wide decisions and growth.
Take on engaging, forward-focused work that shapes the overall business strategy.
Work with leadership who cultivate professional development and a friendly and collaborative environment.
Core Responsibilities:
Build financial models and perform ad hoc analysis to support budgeting, forecasting, and strategic planning.
Analyze P&L results, trends, and performance metrics to deliver clear insights to leadership.
Create and maintain dashboards using BI tools such as Omni, Tableau, or Power BI.
Partner with cross-functional teams to gather data, validate assumptions, and drive process and system improvements (including Planful).
What You'll Bring:
Bachelor's degree in Finance or a related field with relevant FP&A experience.
2+ years of analytical experience.
Advanced Excel skills, including building models from scratch.
Experience with BI tools; exposure to Planful is a plus.
For immediate and confidential consideration, please apply online at ******************** or call ************ today. You may also e-mail your resume directly to ************************.
$68k-90k yearly est. 2d ago
Senior Financial Analyst
Innovatix Technology Partners
Finance director job in Dallas, TX
Role: Financial Analyst - Senior
Duration: 12 Months
*** W2 - USC or GC only ***
Required Skills:
Experience in financial reporting & analysis.
Expert Power Query, Excel, pivot tables, Power BI
Data mining, database management, use of pivot tables, and disparate data cleanup to prepare for analysis
Corporate marketing planning or management experience
$68k-90k yearly est. 4d ago
Director of Finance & Accounting
Barkbus
Finance director job in Dallas, TX
About Us
Barkbus is the nation's premier mobile dog grooming company. We are dog-loving creatives, operators, technologists, and entrepreneurs taking a Silicon Valley startup approach to disrupt and modernize the fragmented legacy pet grooming industry. Driven by our mission to deliver joy to pets and their people, we're proud to operate across California, Nevada, Arizona, Colorado, Texas, Illinois, Connecticut, New York, New Jersey, Georgia, North Carolina, South Carolina, Florida, and Virginia. We're the fastest-growing pet health & wellness startup in the country and would love for you to join us in building the nation's beloved pet brand.
Who We Are
We're a collaborative, high-quality team of dog-lovers that solves problems with thoughtfulness, empathy, and speed. We have a big dream: to build a generational company that remakes the pet health & wellness industry nationally. We're a fun, ambitious group that is working to build something new in pet care. We move with high velocity, collaborate closely, and deliver results faster than anyone in the market. We want your time at Barkbus to be the greatest time of your career. If you're ready to build the future of pet care with high standards and speed, come on board. We need exceptional people to help us build something new in the world.
About This Role
The Director of Finance & Accounting will own and scale the financial engine of Barkbus. This role is both strategic and hands-on. You'll lead all core accounting operations while building and evolving the company's financial planning, forecasting, and reporting capabilities to support profitable growth. You'll run monthly closes, manage a small accounting team, maintain clean financials, and develop forward-looking models that guide decisions across markets, operations, people, and marketing. As a hybrid operator-leader, you'll balance precision in the fundamentals with strategic insight that strengthens performance, efficiency, and financial discipline.
The role is ideal for a technical, analytical finance operator who thrives in fast-paced, high-growth environments and wants to directly shape how Barkbus understands, managers, and invests its resources as we scale.
Role & Responsibilities
Accounting Leadership (50%)
Oversee all daily, monthly, and quarterly accounting activities; ensure clean, timely closes.
Prepare monthly financials statements and variance analysis; generate monthly and ad hoc reports for department managers
Manage and develop two Accounting team members; elevate processes, accuracy, and accountability.
Maintain and improve internal controls, accounting policies, and financial compliance.
Partner with operations to ensure accurate revenue recognition, grooming van capex tracking, recording of payroll and benefits expenses to the general ledger and expense coding.
Own relationships with external tax and audit partners.
FP&A & Strategic Finance (30%)
Build, maintain, and evolve the company's operating model, forecasts, and scenario plans.
Lead annual budgeting and monthly/quarterly forecasting cycles.
Analyze trends, risks, and opportunities; deliver actionable insights to the Leadership Team.
Partner with People, Ops, and Marketing to evaluate ROI and support data-driven decision making.
Fundraising Support & Investor Relations (20%)
Prepare financial materials, data room content, and analyses for fundraising.
Support storytelling through metrics, cohort performance, unit economics, and growth models.
Partner with Co-CEOs on investor updates and board materials.
Qualifications & Experience
6-9 years of progressive experience across Accounting and Finance.
Strong foundation in accounting (CPA preferred but not required).
Familiarity with ASC606 Revenue Recognition and ASC842 Lease Accounting preferred
Experience with Quickbooks, Ramp, Rippling and LeaseQuery preferred
Hands-on operator comfortable rolling up your sleeves in a scrappy, fast-paced environment.
Advanced modeling skills and comfort building from scratch.
Clear, concise communicator who can turn numbers into insight.
Experience in high-growth startups, multi-location, multi-entity and marketplace businesses, or consumer services is a plus.
Excited by pets, people and scaling something special.
Compensation & Benefits
$175k - 190k salary based on experience.
Stock options upon required tenure.
Comprehensive medical, dental, and vision insurance.
Retirement Savings Plan to support your future.
Pet Insurance to keep your furry friends healthy.
Monthly cell phone stipend to stay connected.
ClassPass membership to support your fitness and wellness goals.
Equal Opportunity
Barkbus is an equal-opportunity employer who celebrates diversity. Come as you are.
$175k-190k yearly Auto-Apply 24d ago
Fund Operations Manager - Outsourced CFO for Hedge Funds
Junonia Partners
Finance director job in Dallas, TX
Junonia Partners provides Outsourced CFO and Controller level services to investment advisors of hedge funds, private equity funds, and venture capital funds. Upon realizing the value and importance of having a strong back-office partner, Junonia was founded to focus on providing the highest level of partnership: treat each client's business as if it was your own. Our experience in both in-house and service provider roles has shown us what matters most to investment managers who want more than just another consultant or service provider.
Build for tomorrow Think long-term solutions and processes, not band-aids
Serve as a partner Not just a consultant or another service provider
Go the extra mile Delivering what's expected, on schedule is table stakes
Position Overview
We are actively building a team and are hiring Associates, Managers and Directors; each requiring a similar background in back-office operations. Title and level of seniority are based on a candidate's individual background and relevant work experience. Managers are directly responsible for providing outsourced CFO/Controller services, creating and spearheading processes for new clients, and managing project-based engagements. Managers are responsible for completing daily operational tasks and providing work product and deliverables to clients. The nature of our work is very hands-on, and every member of our team is client-facing. Directors will oversee the work of Managers.We pride ourselves on selecting clients who truly value our partnership and we enjoy acting as an extension of their teams. We reap the rewards of the camaraderie and intellectual stimulation that comes with being a part of an individual fund manager, yet we also enjoy having visibility into multiple strategies and protection against the volatility of just one fund. This position offers the opportunity to be a foundational member of a high quality organization, a lifestyle integration and an especially attractive career trajectory for exceptional performance.
Responsibilities
· Provide outsourced CFO and Controller services to investment managers, hedge funds, private equity and venture capital clients.· Review NAV packages and reconcile financial reporting and investor statements prepared by the fund administrator. This includes re-calculation of investor allocations, management fees and incentive allocation.· Perform daily reconciliations between client's OMS, fund administrator and prime broker/custodian. Also provide support for trade-break resolution, margin calls and other daily operational matters.· Spearhead the process for new fund launches.· Review fund documents prepared by legal counsel including PPM, LPA, and subscription documents. · Solicit bids and vet service providers on behalf of the client including audit/tax, fund administrator and banks/prime brokers.· Open brokerage, bank accounts and lines of credit.· Onboard all selected service providers and integrate each into the client's operations prior to fund launch.· Establish key policies and procedures including valuation policies, cash management controls, etc. · For management company clients, prepare financial statements, cash forecasts and budgets. · Provide treasury management services for both fund entities and management company entities, including allocation of expense and processing of payments.· Oversee the annual audit and tax preparation process for all client entities, including draft footnotes when necessary.· Liaise with clients' external auditors, administrator, HR/payroll, compliance and other service providers.· Evaluate current financial and accounting processes for clients, propose improvements and help coordinate implementation efforts.· Assist clients with special and ad-hoc projects.· Provide operational support for clients and advise on various issues as they arise.· Lead service delivery and act as main point of contact for client relationships.· Develop and oversee staff in delivery of services.
Required Experience, Skills and Qualifications
· 5-9 years of experience in alternative investment management industry (Hedge Fund, Private Equity)· Minimum of a Bachelor's degree in Accounting/Finance · CPA is a plus· Advanced Excel skills· Exceptional attention to detail· Desire to be part of an entrepreneurial environment and to help build a growing firm into a best-in-class industry partner· Experience that demonstrates the ability to define, create and implement processes and procedures from the ground up· Solutions oriented mindset with the ability to effectively use all available resources to solve challenging problems· Ability to work in fast paced environment while effectively prioritizing tasks for multiple clients· Ability to communicate effectively with clients and team members in a manner that instills trust and confidence · Awareness of one's own impact on culture and a natural inclination to be a champion of best practices and to lead by example We value diversity and are committed to making hiring decisions based on the skills and experience needed to be successful in this role. We are an equal opportunity employer and we welcome your application!
$92k-187k yearly est. Auto-Apply 60d+ ago
Chief Financial and Operating Officer
Sc Staffing
Finance director job in Arlington, TX
Our client seeks an experienced nonprofit executive to oversee the day\-to\-day management of our team, operations, and finances. Reporting directly to the CEO, the Chief Financial and Operating Officer (CFOO) will be responsible for supervising all financial systems, personnel support, IT, facilities, and operations. The CFOO will lead and manage a team of 32 full\-time and part\-time staff members, as well as vendors, fostering an inclusive and collaborative work environment and ensuring they have the necessary resources and support to achieve their objectives. As a key member of the senior leadership team, the CFOO will participate in crucial decisions regarding the organization's strategy, personnel, programs, and partnerships. This full\-time position is based in our Arlington, VA office.
The ideal candidate will have a proven track record of effectively managing and innovating the operations of a rapidly growing nonprofit organization. They should be a creative problem\-solver who excels at identifying solutions and focusing on achievable goals. As a seasoned leader, the CFOO must demonstrate a strong commitment to establishing systems and fostering a workplace culture that values integrity, inclusivity, equity, and teamwork.
Responsibilities will include:
Operational Leadership and Innovation:
Provide leadership and management of day\-to\-day operations to ensure DTI achieves its mission and objectives.
Implement best practices and innovative ideas to enhance the efficiency of internal systems, policies, and procedures.
Serve as a strategic advisor to the CEO, contributing insights on critical strategic and operational issues as a senior member of the leadership team.
Financial Management and Strategy:
Oversee the Controller to ensure a smooth annual budgeting process, clean annual audit, timely 990 filing, and accurate financial reporting.
Collaborate with external accounting and audit firms and support the Board finance committee.
Create and deliver clear and accurate financial reports.
Provide strategic guidance to the CEO and Board on financial matters, including forecasting, planning, and risk management.
People and Culture:
Foster a diverse, inclusive, and equitable organizational culture where every team member feels valued.
Manage the human resources function and develop a comprehensive people strategy for recruiting, developing, and retaining a diverse and qualified staff.
Oversee HR consultant to ensure successful execution of all HR administrative practices, such as payroll, scheduling, health insurance, recruiting, and onboarding.
Information Technology:
Supervise the IT consultant to ensure secure and effective technology operations.
Evaluate the current technology infrastructure and identify opportunities for innovation.
Requirements
At least ten years of experience leading the finances and operations of a lively nonprofit organization, which includes managing HR and IT tasks.
Experience in guiding, coaching, and nurturing a team to achieve outstanding results.
Familiarity with Quickbooks Online and Salesforce software.
Proven track record of creating and executing fresh policies, procedures, and systems to enhance an organization's efficiency.
Excellent communication skills, both verbal and written, and the ability to interact effectively with others.
A knack for creative problem\-solving and the ability to adapt to different situations.
A collaborative approach to work, with a talent for building agreement among team members.
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$93k-188k yearly est. 60d+ ago
Financial Controller
Topview Sightseeing
Finance director job in Dallas, TX
Controller - TopView Sightseeing
Our rapidly growing portfolio continues to expand both vertically and horizontally-we are scaling existing operations while developing innovative new offerings every day. With ambitious growth plans, we are preparing to bring our expertise and success to destinations around the world, including Chicago, Miami, San Francisco, Los Angeles and more.
We thrive in a fast-paced, entrepreneurial environment where collaboration, creativity, and competitiveness drive us forward. At TopView, we challenge ourselves daily to raise the bar and deliver world-class sightseeing experiences.
Position Overview
We are seeking an experienced and hands-on Controller to join our growing team in Dallas, TX. This role oversees the full spectrum of accounting operations and plays a critical part in safeguarding company assets. The Controller will lead financial reporting and monthly close, manage day-to-day treasury and cash processes, strengthen fraud prevention and internal controls, and ensure compliance across tax, insurance, licensing, and regulatory areas. The ideal candidate brings both technical accounting expertise and operational discipline, with the ability to balance detail-oriented execution and team leadership in a fast-paced, entrepreneurial environment.
NOTE: This is a full-time, in-office position based in our Dallas, TX headquarters. The role requires regular interaction with team members, vendors, and external partners. Some travel may be required.
Key ResponsibilitiesFinancial Reporting & Analysis
Prepare accurate and timely monthly, quarterly, and annual financial statements
Lead month-end and year-end close processes, ensuring deadlines are consistently met
Support FP&A in budget preparation and forecasting processes
Accounting Operations
Oversee all general ledger activities and ensure proper accounting treatment of transactions
Manage accounts payable, accounts receivable, and cash management processes
Coordinate and supervise annual external financial reviews (and audits as applicable) with outside CPA firms.
Ensure compliance with GAAP and all applicable accounting standards
Treasury & Risk Management
Manage daily cash management processes and prepare short-term cash forecasts to support liquidity needs
Implement fraud detection and prevention procedures, including bank reconciliation reviews, positive pay, and ACH/wire controls
Ensure accurate revenue recognition across all ticket distribution channels, and point-of-sale systems; reconcile ticketing platforms with bank deposits
Manage corporate insurance policies and coordinate renewals, claims, and broker relationships
Implement and maintain robust internal controls and procedures
Compliance, Controls, & Asset Protection
Coordinate preparation of federal, state, and local tax returns with outside CPA firm
Ensure compliance with all regulatory requirements and filing deadlines
Manage sales and local tax compliance across multiple jurisdictions
Support business license and regulatory compliance efforts
Establish and continuously optimize purchasing policies and approval controls to ensure cost-effective vendor management
Oversee inventory accounting, valuation, and control processes to safeguard assets
Systems & Process Management
Utilize NetSuite ERP system for financial management and reporting (NetSuite experience strongly preferred)
Drive process improvements and automation to increase efficiency and accuracy
Maintain and enhance financial systems integration and data integrity
Support system implementations and upgrades as needed
HR, Payroll & Workforce Oversight
Oversee payroll, benefits, and compliance; ensure accuracy, reconciliations, and cost control
Ensure compliance with multi-state labor laws and reporting, maintaining strong internal controls
Track and analyze labor costs across departments and cities, linking headcount and staffing levels to financial performance and support staffing strategies and city-level profitability
Partner with HR to improve policies, onboarding/offboarding, and align processes with financial controls.
Team Leadership & Development
Supervise, mentor, and develop 2+ accounting staff members
Develop team capabilities through training and professional development
Foster a collaborative and high-performance accounting team culture
Participate in hiring and performance management processes
Required Qualifications
Bachelor's degree in Accounting, Finance, or related field
CPA certification required
Minimum 7 years of progressive accounting and finance experience, including leadership of month-end close and financial reporting
Demonstrated experience in cash management, account reconciliations, and fraud prevention/internal controls
Previous Controller or Assistant Controller experience required
Strong knowledge of GAAP and financial reporting requirements
Advanced proficiency in Excel and financial analysis
Experience with ERP systems (NetSuite experience strongly preferred)
Excellent analytical, problem-solving, and organizational skills
Strong written and verbal communication abilities
Proven ability to work in a fast-paced, deadline-driven entrepreneurial environment
Preferred Qualifications
Experience in service industry, tourism, transportation, or hospitality sectors
Public accounting background with audit experience
Advanced degree (MBA or MS in Accounting) preferred
Hands-on experience implementing fraud detection tools, purchasing workflows, or inventory controls
Experience managing or coordinating insurance renewals and claims
Experience with multi-location operations
Knowledge of sales tax compliance and regulations
Project management experience
What We Offer
Competitive salary range: $130,000 - $150,000 annually
Comprehensive benefits package including medical, dental, and vision insurance
Paid time off and holiday schedule
Collaborative and dynamic work environment
Opportunity to contribute to a growing company in the exciting tourism industry
$130k-150k yearly Auto-Apply 60d+ ago
Finance and Business Management and Controllers - United States - 2026 ReEntry Program
Jpmorgan Chase & Co 4.8
Finance director job in Plano, TX
JobID: 210687506 JobSchedule: Full time JobShift: Base Pay/Salary: New York,NY $88,000.00-$125,000.00;Jersey City,NJ $88,000.00-$125,000.00;Columbus,OH $72,000.00-$100,000.00;Plano,TX $76,000.00-$117,000.00
At JPMorganChase, we recognize that rewarding careers do not always follow a conventional path. We value the diversity, fresh perspective and wealth of experience that returning professionals can bring.
The ReEntry program offers experienced professionals, who are currently on an extended career break of at least two years, the support and resources needed to relaunch their careers. The program spans over 30 locations worldwide.
The ReEntry Program is a 15-week fellowship program, beginning April 21, 2025 and ending July 31, 2025 with the prospect of an offer for permanent employment with JPMorganChase at the end of the program. The permanent placements will be based on both business needs and candidate skill set.
Please refer to our ReEntry Overview page for further information regarding the Program.
Finance & Business Management at JPMorganChase
The Office of the Chief Financial Officer (OCFO) is a firmwide function that provides support to manage the business processes, systems, infrastructure and strategy that help sustain and drive the firm's operations and performance. OCFO consists of Global Finance & Business Management, Treasury/Chief Investment Office, Control Management, the Chief Administrative Office and Firmwide Business Resiliency. There are about 16,000 colleagues around the globe within OCFO who work together to support the firm's lines of businesses and functional areas..
What We Look For
You will be a creative, innovative team player with analytical, technical, problem solving, planning and organizational skills. You must have strong interpersonal skills and be able to communicate effectively in presentations, expressing complex issues in an organized and articulate manner. The ability to build and maintain good clients and colleague relationships is a crucial requirement of the program.
Prior experience in an accounting or finance team in a corporate environment is highly beneficial.
$88k-125k yearly Auto-Apply 27d ago
Finance Controller
GKN 2.8
Finance director job in Dallas, TX
Fantastic challenges. Amazing opportunities.
GKN Aerospace is reimagining air travel: going further, faster and greener! Fuelled by great people whose expertise and creativity sets the standards in our industry, we're inspired by the opportunities to innovate and break boundaries. We're proud to play a part in protecting the world's democracies. And we're committed to putting sustainability at the centre of everything we do, opening up and protecting our planet. With over 16,000 employees across 33 manufacturing sites in 12 countries we serve over 90% of the world's aircraft and engine manufacturers and achieved sales of £3.35 bn.in 2023. There are no limits to where you can take your career.
Job Summary
To perform financial accounting and transaction processing and provide analysis, insight and control to the finance function across actuals, forecast and budget. Ensure that the balance sheet positions for the FBP's area of responsibility are carefully managed, controlled, reconciled and communicated in line with expectations.
Provide partnering to functions within your area of responsibility to drive on site performance through the provision of robust financial information and by holding owners accountable for improving it.
Ensure that the business processes to do this reflect consistent best practice
Job Responsibilities
Prepare and book financial data to ensure that P&L and balance sheet positions are correctly reflected in our accounts
Provide business partnering to site based functions - provide insight, analysis and reporting according to their requirements, and support in interpreting and acting on financial data
For your area of responsibility:
Support financial planning and budgeting
Provide reporting and analysis
Provide financial decision making support
Ensure that balance sheet positions are reconciled, understood, and aged or judgmental items are actioned to minimise them
Adhere to all financial governance requirements and support internal and external audits as required
Job Qualifications
Required Qualifications:
10 years of experience in finance
3 years of management experience
Experience of SAP FI/CO modules (will change depending on site ERP)
Understanding of managing finance, accounting, budgeting, control, pricing, business analytics and reporting;
Preferred Qualifications:
GKN Aerospace Experience
Ability to work well in a fast-paced and collaborative team that is responsive and results-oriented.
Strong analytical skills;
Keen attention to detail; diligent
Connects and builds strong relationships with others, demonstrates emotional intelligence and an ability to communicate clearly, collaboratively and persuasively;
Recognized accounting qualification
Good understanding of the Aerospace industry
We'll offer you fantastic challenges and amazing opportunities. This is your chance to be part of an organisation that has proven itself to be at the cutting edge of our industry; and is committed to pushing the boundaries even further. And with some of the best training on offer in the industry, who knows how far you can go?
A Great Place to work needs a Great Way of Working
Everyone is welcome to apply to GKN. We believe that we can only achieve our ambitions through a coming together of diverse minds who enjoy collaborating in an inspirational environment. Through our commitment to diversity, inclusion and belonging and by living our five powerful principles we've created a culture where everyone feels welcome to contribute. It's a culture that won us ‘The Best Workplace Culture Award'. By embracing and celebrating what makes us unique we encourage everyone to bring their full self to work.
We're also committed to providing an accessible recruitment process, so if you require reasonable adjustments at any stage during our recruitment process please get in touch and let us know.
We are the place where human dreams, plus human endeavour, shape the future of aerospace innovation and technology.
$78k-112k yearly est. 11d ago
Construction Financial Controller - Fort Worth
Now CFO
Finance director job in Dallas, TX
We are seeking a Controller specializing in Construction to oversee all financial and accounting activities within our construction company. The Controller will be responsible for financial reporting, budgeting, forecasting, and ensuring compliance with all relevant regulations.
Qualifications:
- Bachelor's degree in Accounting, Finance, or related field; CPA certification preferred
- Proven experience as a Controller in the construction industry
- Strong knowledge of construction accounting, job costing, and financial management software
- Experience with financial reporting, budgeting, and forecasting
- Excellent analytical and problem-solving skills
- Strong attention to detail and accuracy
- Ability to effectively communicate and collaborate with cross-functional teams
- Familiarity with regulatory requirements in the construction industry
Responsibilities:
- Oversee all financial activities, including financial reporting, budgeting, and forecasting
- Manage the accounting department and ensure accurate and timely financial reporting
- Implement and maintain internal controls to safeguard company assets
- Monitor project financial performance and provide analysis to support decision-making
- Ensure compliance with all regulatory requirements and accounting standards
- Collaborate with project managers and executives to provide financial insights and support strategic planning
- Develop and maintain financial policies and procedures to support efficient operations
- Participate in the development of annual budgets and long-term financial plans
- Perform ad hoc financial analysis and reporting, as needed
If you are a detail-oriented and experienced Controller with a background in construction, we encourage you to apply for this challenging and rewarding position.
#ZR
#LI-KN1
$70k-110k yearly est. 60d+ ago
Treasurer
Airtron
Finance director job in Dallas, TX
The Treasurer is responsible for developing and executing the organization's treasury strategy, including forecasting, cash management, liquidity, investments, financial risk management, and developing strong relationships with banking and capital markets partners. This leader will own all activities related to consolidating treasury functions for acquired entities and ensuring the appropriate infrastructure is in place to support future growth. This position reports to the Chief Financial Officer, will have significant exposure to PE sponsors, and will work closely with the finance and accounting teams to support strategic decision-making related to financial planning and capital structure.
Essential Duties/Responsibilities:
Cash and Liquidity Management
Monitor daily cash flow, liquidity requirements, and opportunities for investment to ensure sufficient funds are available to meet operational and financial obligations, while optimizing interest income, interest expense, and bank fees.
Manage 13-week cash forecasting models to predict short-term and long-term cash needs, adjusting for variances in business activities.
Manage the company's debt portfolio, including scheduling repayments, managing interest rate risks, and optimizing debt structure.
Prepare and present treasury reports to senior management and PE sponsors, highlighting key metrics related to cash flow, liquidity, and financial risk.
Provide analysis of key financial trends and recommend strategies to improve cash management and optimize working capital.
Financial Risk Management
Identify, assess, and mitigate financial risks related to liquidity, interest rates, and credit exposure.
Oversee trade finance including surety bonds, bank guarantees, and letters of credit.
Develop and implement strategies to hedge against risks (e.g., through derivatives or other financial instruments) where appropriate.
Bank and Capital Markets Relationship Management:
Manage relationships with banks and other financial institutions to ensure efficient execution of treasury operations, including cash management, financing, investments, and payment processing including credit cards, real time payments, and e-checks.
Negotiate banking and merchant services agreements, fees, and credit facilities to ensure the company receives the most favorable terms.
Oversee and maintain a strong relationship with the company's credit providers, including monitoring compliance with covenants and reporting requirements.
Evaluate refinancing and financing opportunities, working closely with senior leadership to recommend strategies for debt issuance or repayment.
Leadership and Collaboration
Oversee the development and maintenance of treasury policies and procedures to ensure compliance with regulatory requirements and industry best practices.
Develop and implement internal controls to safeguard cash and ensure that all treasury operations are executed efficiently and securely.
Develop and implement the company's investment strategy for surplus cash, balancing liquidity, risk, and returns.
Drive a culture of continuous improvement within the treasury function by identifying opportunities to improve processes and leverage technology.
Lead and advocate for the treasury team in the evolving ERP/TMS environment to determine best practices and infrastructure support needed to support future operations.
Lead and develop a high-performing treasury team, providing guidance and mentoring to enhance the team's capabilities.
Ensure ongoing training and development for treasury staff to stay updated on best practices, regulations, and market conditions.
Collaborate with the accounting team to ensure proper cash, investment, and debt reporting.
Collaborate with legal, tax, accounting and FP&A in preparing intercompany notes to support cash pooling initiatives while minimizing tax implications.
Support financial planning and analysis (FP&A) in preparing cash flow forecasts and long-term financial plans.
Working Conditions:
Hybrid position
Occasional work outside normal business hours as needed
Occasional travel as needed
Minimum Requirements:
Bachelor's degree in finance, accounting, or related field
7-10 years of experience in treasury, cash management, or corporate finance
Experience in managing treasury functions for a multinational or large organization is a plus.
Strong knowledge of cash forecasting, banking relationships, and investment strategies.
Familiarity with treasury management systems (TMS) and financial software (e.g., Microsoft Dynamics, Sage, Kyriba).
Must be able to communicate in English effectively, both verbally and in writing
Valid driver's license required
Preferred Qualifications:
MBA
CFA (Chartered Financial Analyst) or CTP (Certified Treasury Professional)
Industry experience in consumer services, construction
Additional Knowledge, Skills and Abilities:
In-depth understanding of financial markets, investment products, and financial risk management.
Strong analytical and problem-solving skills with a high degree of attention to detail.
Excellent communication and interpersonal skills, with the ability to interact effectively with internal and external stakeholders.
Proven ability to manage multiple tasks in a fast-paced environment, with strong project management and organizational skills.
Advanced proficiency in Excel, financial modeling, and cash flow forecasting.
High level of integrity, ethics, and professionalism in managing financial resources.
Strategic thinker with strong decision-making capabilities.
Ability to work collaboratively across functions and departments.
A proactive approach to identifying opportunities for process improvement and risk mitigation.
Positive attitude and desire to be a team player
Flexibility to work outside of normal business hours as needed
Ability to work independently and collaborate as key contributor
Safety mindset and acceptance of a safety culture
Airtron is an equal opportunity employer. We celebrate diversity and are committed to creating an inclusive environment for all employees.
$58k-112k yearly est. Auto-Apply 60d+ ago
Finance Controller
GKN Aerospace Services
Finance director job in Westlake, TX
Company: GKN Aerospace Careers Fantastic challenges. Amazing opportunities. GKN Aerospace is reimagining air travel: going further, faster and greener! Fuelled by great people whose expertise and creativity sets the standards in our industry, we're inspired by the opportunities to innovate and break boundaries. We're proud to play a part in protecting the world's democracies. And we're committed to putting sustainability at the centre of everything we do, opening up and protecting our planet. With over 16,000 employees across 33 manufacturing sites in 12 countries we serve over 90% of the world's aircraft and engine manufacturers and achieved sales of £3.35 bn.in 2023. There are no limits to where you can take your career.
Job Summary
To perform financial accounting and transaction processing and provide analysis, insight and control to the finance function across actuals, forecast and budget. Ensure that the balance sheet positions for the FBP's area of responsibility are carefully managed, controlled, reconciled and communicated in line with expectations.
Provide partnering to functions within your area of responsibility to drive on site performance through the provision of robust financial information and by holding owners accountable for improving it.
Ensure that the business processes to do this reflect consistent best practice
Job Responsibilities
* Prepare and book financial data to ensure that P&L and balance sheet positions are correctly reflected in our accounts
* Provide business partnering to site based functions - provide insight, analysis and reporting according to their requirements, and support in interpreting and acting on financial data
* For your area of responsibility:
* Support financial planning and budgeting
* Provide reporting and analysis
* Provide financial decision making support
* Ensure that balance sheet positions are reconciled, understood, and aged or judgmental items are actioned to minimise them
* Adhere to all financial governance requirements and support internal and external audits as required
Job Qualifications
Required Qualifications:
* 10 years of experience in finance
* 3 years of management experience
* Experience of SAP FI/CO modules (will change depending on site ERP)
* Understanding of managing finance, accounting, budgeting, control, pricing, business analytics and reporting;
Preferred Qualifications:
* GKN Aerospace Experience
* Ability to work well in a fast-paced and collaborative team that is responsive and results-oriented.
* Strong analytical skills;
* Keen attention to detail; diligent
* Connects and builds strong relationships with others, demonstrates emotional intelligence and an ability to communicate clearly, collaboratively and persuasively;
* Recognized accounting qualification
* Good understanding of the Aerospace industry
We'll offer you fantastic challenges and amazing opportunities. This is your chance to be part of an organisation that has proven itself to be at the cutting edge of our industry; and is committed to pushing the boundaries even further. And with some of the best training on offer in the industry, who knows how far you can go?
A Great Place to work needs a Great Way of Working
Everyone is welcome to apply to GKN. We believe that we can only achieve our ambitions through a coming together of diverse minds who enjoy collaborating in an inspirational environment. Through our commitment to diversity, inclusion and belonging and by living our five powerful principles we've created a culture where everyone feels welcome to contribute. It's a culture that won us 'The Best Workplace Culture Award'. By embracing and celebrating what makes us unique we encourage everyone to bring their full self to work.
We're also committed to providing an accessible recruitment process, so if you require reasonable adjustments at any stage during our recruitment process please get in touch and let us know.
We are the place where human dreams, plus human endeavour, shape the future of aerospace innovation and technology.
How much does a finance director earn in Garland, TX?
The average finance director in Garland, TX earns between $67,000 and $158,000 annually. This compares to the national average finance director range of $76,000 to $183,000.