Manager Finance - Accounting
Finance leader job in San Antonio, TX
Please make sure you read the following details carefully before making any applications.
Provides oversight for financial reporting propriety for regional finance. Acts as liaison between regions and CHRISTUS corporate finance and accounting. Provides accounting support through proper application of financial accounting standards. Assures sound foundational principles are being applied for regional financial accounts, including timeliness in reporting, completeness in capturing financial activity, prudence in procedural matters such as account reconciliations, accruals, and the like. Resolves financial reporting and statistical reporting issues.
Responsibilities:
Preparation of monthly financial package for hospital leadership
Responsible for preparation of annual facility budget
Preparation of mid-month volume and financial forecast for facility
Work with accounting team to ensure proper fiscal management, timely and accurate reporting and analysis for the organization
Participates/Leads in facilities Revenue cycle processes to include but not limited to charge capture, denials and Bill hold
Provide service and operations analysis as needed
Must be able to understand and be able to communicate industry rules and regulations
Must have demonstrated management ability
Must be able to prioritize tasks and work under pressure
Timely/Accurate xevrcyc reporting of financials to hospital Leadership Team
Responsible for accurate and timely dissemination of internal financial reports
Participate in a variety of special projects as needed
Requirements:
Bachelor's Degree
Work Schedule:
8AM - 5PM Monday-Friday
Work Type:
Full Time
Finance Manager
Finance leader job in San Antonio, TX
The Bolton Group is partnering with a well-established and large homebuilder to look for a Finance Manager for their Edinburg, Texas location.
The Finance Manager is responsible for providing financial and analytical support to help drive operational success in sales, land, construction, purchasing, warranty and escrow. This position also organizes detailed key performance indicators and financial performance analysis through income statement, balance sheet, and cashflow statement.
Experience from a large public accounting firm or home building industry is required.
The schedule is full time onsite with flexibility.
Pay: $100K - $130K + 20% discretionary bonus - relocation bonus can be considered
Qualifications:
Bachelor's Degree (B.A.) in Accounting, Finance, or related field is required
Minimum 2 years public accounting or homebuilding accounting/finance
Strong ability to Ability to create reports & dashboards to analyze trends and information.
Proficiency in Power BI
Strong data analysis skills and experience
If you are interested, please reach out to Thun Lennert at ************************
Senior Director, Finance Systems Integration
Finance leader job in Austin, TX
Job Posting Start Date 12-11-2025 Job Posting End DateFlex is the diversified manufacturing partner of choice that helps market-leading brands design, build and deliver innovative products that improve the world.A career at Flex offers the opportunity to make a difference and invest in your growth in a respectful, inclusive, and collaborative environment. If you are excited about a role but don't meet every bullet point, we encourage you to apply and join us to create the extraordinary.Job Summary
We are seeking a strategic and execution-focused Senior Director of Finance to lead our Finance Integration Team, with a primary focus on SAP implementation and finance compliance. This role will be instrumental in driving post-acquisition integration efforts, ensuring financial systems, controls, and compliance frameworks are seamlessly embedded across newly acquired entities.
What a typical day looks like:
Lead the finance workstream of SAP implementation across acquired businesses within critical power.
Ensure compliance with SOX and other relevant financial regulations.
Design and implement robust process controls to support integration and ongoing operations.
Collaborate cross-functionally with IT, HR, Legal, and Operations to align integration efforts.
Serve as the finance lead for acquisition integration, reporting to the SVP of Reliability and Power.
Develop and manage integration roadmaps, timelines, and resource plans.
Provide leadership and mentorship to a team of finance professionals focused on integration.
Identify and mitigate financial risks during integration.
Travel as needed to support integration activities across global critical power sites.
What we're looking to add to our team:
Bachelor's degree in Finance, Accounting, or related field; MBA or CPA preferred.
12+ years of progressive finance leadership experience, ideally in a global manufacturing or EMS environment.
Experience with designing, mapping, and implementing of key financial SOX controls
Proven experience leading SAP implementations in complex organizations.
Deep understanding of SOX compliance, financial controls, and integration best practices.
Strong project management and change leadership skills.
Excellent communication and stakeholder management abilities.
Willingness to travel extensively as needed
SS26
SA63
EA42
CA47
What you'll receive for the great work you provide:
Full range of medical, dental, and vision plans
Life Insurance
Short-term and Long-term Disability
Matching 401(k) Contributions
Vacation and Paid Sick Time
Tuition Reimbursement
Job CategoryFinanceFlex is an Equal Opportunity Employer and employment selection decisions are based on merit, qualifications, and abilities. We do not discriminate based on: age, race, religion, color, sex, national origin, marital status, sexual orientation, gender identity, veteran status, disability, pregnancy status, or any other status protected by law. We're happy to provide reasonable accommodations to those with a disability for assistance in the application process. Please email accessibility@flex.com and we'll discuss your specific situation and next steps (NOTE: this email does not accept or consider resumes or applications. This is only for disability assistance. To be considered for a position at Flex, you must complete the application process first).
Auto-ApplyRegional Controller
Finance leader job in Pflugerville, TX
Whether you're a recent grad or a seasoned professional, you can experience meaningful career growth at Rosendin. Enjoy a true sense of ownership as you work with a proven industry leader on some of the most exciting and high-profile projects in the nation. We offer a wide range of job opportunities, competitive compensation, full benefits, an Employee Stock Ownership Plan and more.
Why Rosendin?
Committed. Innovative. Engaged.
If you're looking to take your career to the next level and work with some of the best and brightest in the industry, we want to hear from you. Since our founding over 100+ years ago, Rosendin has been driven to positively impact the communities where we live and work. We are an organization built on integrity and we have a culture that empowers people, embraces diversity, and inspires everyone to do their best. As one of the largest EMPLOYEE-OWNED electrical contractors in the United States, you will have the unique benefit of being a shareholder at a company that is experiencing tremendous growth and success. When our people succeed and fuel our success, we reward them. We'd love to have you as a shareholder!
YOUR NEXT OPPORTUNITY:
The Regional Controller is responsible for overseeing the region's Cost Ledgers, Financial Statements, Budgets, cash forecasting and collecting and assisting various regional and corporate personnel with any finance related issues.
WHAT YOU'LL DO:
Manage the monthly revenue recognition and cost projection process (CAC reviews) with the region(s) Operations Manager(s) and Corporate Finance.
Communicate risk issues identified in monthly CAC reviews to upper management.
Coordinate with various Finance department personnel to develop and implement new processes or policies related to Finance.
Review and maintain allocation rates for region's support departments.
Ensure accuracy of region's inventory counts and general ledger accounts.
Communicate Finance related issues in region to Corporate Finance personnel.
Ensure the accuracy and efficiency of the region's cost tracking systems.
Ensure efficient dissemination of information from Cost Ledgers to region Operations personnel.
Assist Corporate Finance in developing and maintaining labor rates for estimating and project billings.
Assist with Finance and Enterprise System related training for Regional personnel.
Assist Corporate Tax Department with regional tax issues.
Manage finance personnel assigned to region including Cost Accountant and Billing Specialist.
Provide guidance, training and support for payroll, billing and other accounting support personnel located in the region.
Assist in the development and review of regional overhead budgets. Perform periodic variance review of overhead budgets.
Assist in the preparation and review of regional revenue forecasts for accuracy and reasonableness.
Provide weekly cash forecast to AR Manager and CFO.
Facilitate document management between corporate and region
The duties and responsibilities are intended to describe the general nature and scope of work being performed by this position. This is not a complete listing and other duties will be assigned based on the positions role within the business unit.
WHAT YOU'LL NEED TO BE SUCCESSFUL:
Bachelor's degree in Accounting or Finance
Minimum 5 years' construction industry experience and/or public accounting experience
CPA Required
Prior managerial experience
Can be a combination of education, training, and relevant experience
WHAT YOU BRING TO US:
Extensive knowledge of payroll, unions, and construction cost accounting.
Proficient in using a computer and Microsoft Office (Outlook, Word, Excel, Access, etc.); Oracle EBS preferred
Ability to prioritize and manage multiple tasks, changing priorities as necessary
Ability to work under time pressure and adapt to changing requirements with a positive attitude
Effective oral and written communication skills as required for the position
Ability to be self-motivated, proactive and an effective team player
Ability to interact effectively and professionally with all levels of employees, both management and staff alike, vendors, clients, and others.
TRAVEL:
Up to 30% Travel will be dependent on region's work locations.
WORKING CONDITIONS:
General work environment - sitting for long periods, standing, walking, typing, carrying, pushing, bending. Work is conducted primarily indoors with varying environmental conditions such as fluorescent lighting and air conditioning
Noise level is usually low to medium; it can be loud on the jobsite.
We fully comply with the ADA and applicable state law, including considering reasonable accommodation measures that may enable qualified disabled applicants and employees to perform essential functions.
Occasional lifting of up to 30 lbs.
Rosendin is committed to creating a diverse environment and is proud to be an Equal Opportunity Employer. Employment decisions are considered regardless of race, color, religion, sex, sexual orientation, gender identity, national origin, disability, veteran status, pregnancy, age (over 40), or any other categories protected by applicable federal, state, or local law.
YOU Matter - Our Benefits
ESOP - Employee Stock Ownership
401K
Annual bonus program based upon performance, profitability, and achievement
17 PTO days per year plus 10 paid holidays
Medical, Dental, Vision Insurance
Term Life, AD&D Insurance, and Voluntary Life Insurance
Disability Income Protection Insurance
Pre-tax Flexible Spending Plans (Health and Dependent Care)
Charitable Giving Match with our Rosendin Foundation
Our success is rooted in our people. We all come together around long-term vision and a sense of shared ownership. As a group, we do whatever it takes to ensure the success of our business…and your career.
Rosendin Electric is committed to creating a diverse environment and is proud to be an Equal Opportunity Employer. Employment decisions are considered regardless of race, color, religion, sex, sexual orientation, gender identity, national origin, disability or veteran status.
Auto-ApplyOperational Finance Manager
Finance leader job in San Antonio, TX
Position Overview: Drive Performance and Operational Efficiency at AmeriVet. This is a high-impact, highly visible role responsible for driving the financial performance and growth plans in partnership with our Field Ops, Marketing, and Recruiting teams. As a key finance partner to the Sales, Operations, Marketing, and regional leadership teams, this role demands exceptional financial acumen, strategic insight, and meticulous attention to detail to drive informed decisions. You will play a critical role in supporting profitable growth and operational efficiency across the region through cross-functional collaboration and a relentless focus on process improvement.
Key attributes for success in the role demand for someone who is exceptionally driven, possesses high-grit, and loves to influence through relationship and analysis. The successful candidate will possess outstanding expertise in operational finance and complex financial modeling, coupled with a strong tenacity and eagerness to challenge the status quo through persuasive collaboration and best in class FP&A analysis. You will be directly responsible for improving forecasting accuracy, elevating reporting capabilities, outlining KPIs, and driving superior operational communication of financial results in a fast-paced, highly competitive environment.
The ideal candidate will have a background in hospitality, human health management, pet care, or retail with prior background working in private equity or investment banking desired but not required. Advanced excel modelling skills, prior ops finance experience, and superior FP&A competency is required - i.e. this is not a developmental opportunity. The successful candidate will leverage their hands-on experience and a strong business acumen to act as a key financial partner across the organization.
Duties and Responsibilities
1. Strategic Financial Planning and Modeling
Architect and own complex, highly dynamic financial models to forecast and plan revenue and gross margin through clear KPIs. You will be working with Field Ops, Recruiting, and Marketing to connect the dots and recommend a financial forecast that creates clarity and energy and that connects operational driver with expense drivers (e.g., labor, utilization, volume).
Serve as a Thought Partner and Co-Pilot to our Field Ops Leaders. Proactively identify and champion opportunities for operational efficiency, process automation, and cost-reduction, transforming data into tangible, actionable financial strategies. You will be the “voice” of Field Ops by owning, preparing, and leading performance management reviews - whether there is a Monthly Business Review, a Ops Weekly Call, or a Productivity discussion, you are the thought partner and process owners to bring teams together into effective discussions.
Develop and refine cutting-edge methodologies and models in partnership with the SVP of Finance and CFO to dramatically improve the forecasting accuracy of critical Key Performance Indicators (KPIs). In addition, conduct sophisticated ad hoc scenario, sensitivity, and competitive analyses to support high-stakes operational and financial decision-making by the Executive Team.
2. Advanced Forecasting and Performance Reporting
Maintain, rigorously improve, and automate high-stakes weekly revenue forecasting models, ensuring uncompromising consistency and accuracy to provide the executive team with an actionable, forward-looking view of performance.
Source, prepare, and synthesize large, complex data sets for weekly and monthly operational reporting, ensuring crystal-clear, executive-ready accuracy for senior management.
Identify subtle trends, variances, and inflection points in revenue, labor, and other key drivers with a sense of urgency to support proactive, high-impact management action.
Transform reporting processes and tools to increase efficiency, accuracy, and scalability in delivering insightful financial analytics.
3. High Impact Collaboration and Partnership
Tenaciously collaborate across all departments (Operations, Sales, HR) to capture timely and accurate non-financial data for seamless integration into sophisticated revenue, labor, and profitability models.
Act as a highly persuasive and strategic bridge between finance and operations, ensuring complex financial information is distilled and communicated in clear, actionable terms that drive operational accountability.
Partner closely with regional and executive operators to deliver targeted, dynamic analysis in response to high-priority operational requests, often under tight deadlines.
Requirements and Qualifications
Education and Experience
Bachelor's degree in Finance, Economics, Accounting, or a related quantitative field.
3-5 years of progressive finance experience, including a minimum of 1-2 years producing professional, client-ready work in a high-stakes setting and a minimum of 3 years of Ops Finance experience. We value people that come with a growth mindset and a desire to propose different framework of thought so we would welcome, but not require, professionals from Private Equity, Investment Banking, Management Consulting.
Proven track record of success in highly competitive, rigorous, and demanding work environments.
Technical and Financial Skills
Outstanding, demonstrative proficiency in building complex 3-statement, operational, and valuation financial models in Microsoft Excel.
Advanced proficiency in PowerPoint for communicating complex financial narratives to executive leadership.
Experience with advanced analytics tools (Power BI, Tableau, Snowflake) and enterprise planning systems (e.g., Workday Adaptive, Hyperion, Anaplan, SQL) is highly preferred.
Deep understanding of operational P&L components and how to translate operational drivers into financial metrics.
Key Attributes for Success
Extreme Drive and Tenacity: A self-starter with a demonstrable sense of urgency, relentless persistence, and an uncompromising commitment to hitting critical deadlines and performance goals.
High Grit and Resilience: The ability to thrive under pressure, maintain composure in high-stakes situations, and possess an unwavering focus on problem-solving through significant challenges.
Transformative Mindset: An innate eagerness to challenge existing processes and a proactive vision for improving and automating financial operations.
Exceptional Analytical and Communication Skills: The ability to not only identify key financial drivers but also to translate those complex, quantitative results into clear, concise, and persuasive recommendations for non-finance stakeholders.
At AmeriVet, we're committed to your growth, development, well-being, and success. We empower team members with the resources, support, and opportunities needed to thrive in their careers and make a lasting impact in our communities.
Here's what you can expect when you join our team:
Tailored development programs, mentorship, and career pathing to help you achieve your unique goals.
Competitive pay, performance bonuses, 401(k) matching, and student loan assistance to foster your financial well-being.
Health, dental, vision, life insurance, and mental health resources to support your overall well-being.
Generous paid time off and holidays, because your personal time matters.
A supportive, collaborative environment where everyone feels a sense of belonging.
Please note: Any Benefits listed above apply to full-time employees.
At AmeriVet, your unique skills and passion are celebrated, and every team member has the tools to thrive. Our people-focused approach is centered on helping you grow in your career while making a meaningful impact on the communities we serve.
Auto-ApplyFinancial Controller ( Based in Austin, TX)
Finance leader job in Austin, TX
Job Description
We are representing an established full-service Architecture, Engineering, and Interior Design firm is seeking a hands-on Controller to lead the accounting function and partner with firm leadership on financial strategy and operations.
What Youll Do
Lead and mentor a small accounting team (AP/Payroll & Project Accountant)
Oversee month-end / year-end close, journal entries, and financial reporting (including KPIs)
Manage budgets, forecasts, and cash flow
Coordinate with leadership on key financial decisions and project reporting
Oversee payroll, banking, insurance renewals, and tax coordination
Drive process improvements and strengthen internal controls
What Youll Bring
Bachelors in Accounting or Finance (CPA preferred)
10+ years progressive accounting experience (GL, AR/AP, budgeting, forecasting)
Strong Excel + ERP skills (Deltek VantagePoint a plus)
Background in project-based or professional services firms ideal
Proactive, organized, and able to work independently in a fast-paced environment
Location: Austin, TX (on-site)
Salary: Up to $170K
Relocation: Candidates willing to relocate to Austin are preferred
Interested Candidates May Apply Online or Email updated resume to ***************************
Easy ApplyTreasury Manager
Finance leader job in San Antonio, TX
THIS COMPANY OFFERS…
One of the fastest growing privately held companies in Texas
Fun team in a progressive industry who works hard, plays hard
Named one of San Antonio's Best Places to Work by the San Antonio Business Journal
Organization is devoted to giving back to the community
Beautiful office space close to amazing restaurants
Base salary up to $150,000 plus highly competitive bonus target
YOUR TYPICAL DAY…
Responsible for overseeing debt models and implementing internal controls
Prepare financial forecasts
Supports capital market activities
YOU HAVE…
Solid background in finance operations
Proven background in cash flow and credit analysis
Experience with debt compliance and cash forecasting
For a Confidential Conversation and/or Personal Meeting regarding this outstanding career opportunity please contact:
Dana Laramore, CPC | 210.807.5615 | dlaramore@deaconrecruiting.com
Manager, Treasury
Finance leader job in San Antonio, TX
The Treasury Manager oversees daily treasury operations, including credit administration, lender compliance, insurance programs, and debt modeling. This role establishes policies and controls to ensure regulatory compliance and alignment with organizational goals, while supporting strategic financial planning, risk management, and investment initiatives to enhance financial health and operational efficiency.
Duties/Responsibilities:
* Manages daily treasury operations to ensure timely fulfillment of financial obligations.
* Collaborates with the Cash Manager to support cash forecasting, reporting, and allocation, performing cash management tasks as required.
* Administers credit and lender compliance processes, collaborating cross-functionally and maintaining awareness of insurance programs managed by Risk Management.
* Maintains investment records and models debt facilities.
* Prepares financial forecasts and supports budgeting and strategic planning.
* Develops and enforces treasury policies, procedures, and internal controls.
* Ensures adherence to regulatory and internal compliance standards.
* Supports capital market activities, including refinancing and capital raises.
* Serves as liaison with banks, rating agencies, and financial institutions.
* Provides analysis and recommendations on working capital, capital structure, and financing strategies.
* Partners with FP&A and finance teams to ensure accurate liquidity and credit metric forecasting.
* Performs other related duties as assigned.
Required Skills/Abilities:
* Advanced expertise in financial and credit analysis
* Strong foundation in finance, accounting, and treasury operations
* In-depth knowledge of banking, legal agreements, and treasury systems
* Proficient in Microsoft Office and financial analysis tools
* Experienced in predictive analytics and treasury management platforms
* Skilled in cash flow analysis, investment oversight, and receipts management
* Well-versed in regulatory compliance and risk mitigation
* Exceptional analytical, communication, and interpersonal abilities
* Proven ability to manage multiple priorities and meet deadlines
* Detail-oriented, proactive, and accountable for deliverables
Education and Experience:
* Bachelor's degree in finance, accounting, economics, or related field required
* 3+ years of treasury, finance, or risk management experience preferred
* Experience in developing and implementing treasury policies and procedures
* Experience with debt compliance, cash forecasting, and investment management
Certifications:
* None are required but CTP, CPA, CFA, or similar certifications are a plus
Physical Demands and Hazards for Office Employees:
This position requires prolonged periods of sitting, frequent computer use, occasional lifting of office supplies, and may involve travel.
Howard Energy Partners is an equal opportunity employer. If you need additional information, have questions, or need accommodations, please reach out to the Human Resources department at ********************.
Financial Controller
Finance leader job in San Antonio, TX
Job Details Maldonado Corporate - San Antonio, TXDescription
Maldonado Nursery & Landscaping, Inc. is the landscape partner of choice. We're devoted to providing top-quality landscape services to both commercial and residential clients at competitive prices.
We service San Antonio, Austin, Corpus Christi, Houston, and Dallas/Fort Worth. We are one of the largest family-owned landscape and irrigation contractors in the South Texas region as well as one of the largest privately held Hispanic businesses in the United States.
Keeping our mission statement and core values at the forefront of our daily operations is our commitment to our clients and employees. Check out our website to learn more about our mission and team: ******************
We're thrilled to share that we've ranked on the Lawn & Landscape Top 100 list for 2024! This recognition speaks to the hard work, dedication, and passion our team brings to every project. Join our team and be a part of a 38-year legacy that continues to serve the Southern Region of Texas!
Job Summary
The Controller will plan and direct the accounting operations and the internal and external financial reporting of the company.
Essential Duties and Responsibilities
Maintains a documented system of accounting policies and procedures; implements a system of controls over accounting transactions to minimize risk.
Utilizes ComputerEase daily for AP & AR tasks and processes
Oversees the production of periodic financial reports; ensures that the reported results comply with generally accepted accounting principles or international financial reporting standards.
Recommends benchmarks that will be used to measure the company's performance.
Produces the annual budget and forecasts; reports significant budget differences to management.
Comfortable operating on a 10-day close
Involved in year-end audits, ensuring compliance with accounting standards and regulatory requirements.
Performs monthly balance sheet reconciliations to maintain accurate financial records and identify discrepancies.
Utilizes expertise in managing fixed assets, including depreciation schedules, asset tracking, and accounting for asset acquisitions and disposals.
Works with external accountants and provides needed information for the annual review.
Files monthly, quarterly, and annual reports with the appropriate parties.
Ensures compliance with local, state, and federal government requirements.
Stay current on industry standards, contracts, and terms.
Performs other related duties as necessary or assigned.
Salary range for the position: $100k-$115k/annually
Qualifications Required
Required Skills/Abilities:
Demonstrated ability to effectively manage a team of 5-6 direct reports.
Superior analytical skills with extreme attention to detail.
Excellent organizational and time management skills.
Proficient in Microsoft Excel with VLOOKUP's and Pivot Tables.
Education and Experience:
Bachelor's degree in Accounting or Business Administration required.
Ten (10) years or more of progressive accounting experience required.
Previous Controller experience at a company exceeding $100 million in revenue
Experience in the construction industry or project-based industries preferred.
Supervisory experience managing accounting personnel is required
Certified Public Accountant or Certified Management Accounting designation preferred.
Financial Controller
Finance leader job in San Antonio, TX
Grassroots Carbon is the leading grasslands restoration and soil carbon storage company that partners with landowners to implement and scale regenerative land management practices. In addition to enhancing soil health, promoting biodiversity, and improving water quality, these regenerative practices have tremendous potential to combat climate change by drawing down large quantities of atmospheric CO2 into the soil. Grassroots Carbon is proud to have partnered with ranchers across 1.6 million acres in 21 states to implement practices that restore grasslands, improve bird habitats, build soil health, and drive nature-based soil organic carbon drawdown through the healthy soils. Built on a foundation of scientific rigor, quality, and transparency, Grassroots Carbon has built strong partnerships with Audubon Conservation Ranching, Texas Agricultural Land Trust, Understand Ag, and Colorado State University's Soil Carbon Solutions Center while generating high-quality soil carbon drawdown credits for leading corporations, including Nestle, Microsoft, Shopify, Marathon Oil, H-E-B, Olipop, and Urban Villages, to offset their carbon impact and reach their sustainability goals.
*Grassroots Carbon is proud to be a portfolio company of Soilworks Natural Capital*
The Opportunity
Grassroots Carbon is seeking a hands-on, growth-minded Controller to join our mission to restore U.S. grasslands and unlock soil carbon drawdown at scale.
As a key member of the finance leadership team, you will be at the center of our transformation to a category-defining leader in carbon markets. You'll ensure a strong accounting foundation and decision-making.
We are looking for a finance and accounting leader who thrives in a high-growth, mission-driven environment - someone who can bring the rigor of top-tier accounting practices together with the forward-looking mindset of FP&A.
Key Responsibilities
Accounting & Reporting
Lead all aspects of the accounting function: month-end close, reconciliations, financial statement preparation, and audit readiness
Ensure accurate, GAAP-compliant reporting and transparent management information
Strengthen internal controls over financial reporting and implement scalable processes to support a rapidly growing business
Partner with external advisors on tax compliance and audit
Partner cross-functionally to ensure efficient, scalable financial processes that enable rapid growth
Financial Planning & Analysis
Own the annual budgeting and forecasting processes in collaboration with the CFO and department leaders
Prepare and present monthly performance reviews, highlighting drivers of variance to plan
Develop KPIs and dashboards to provide leadership with clear, timely insights into performance and growth levers
Support scenario planning and cash-flow forecasting to guide strategic decisions
Collaborate with the CFO to enhance systems and processes that link QuickBooks, Salesforce, and future FP&A tools
Leadership & Team Development
Manage and mentor an initial team member with the opportunity to grow the team as the company scales
Build a culture of accountability, curiosity, and continuous improvement in the finance and accounting functions
Serve as a trusted advisor to the CFO and leadership team, balancing tactical execution with strategic perspective
Requirements
What We're Looking For
6-8+ years of progressive experience in accounting and finance, including at least 3+ years in a controllership or senior accounting leadership role in a growth-stage or mid-size company
CPA designation; Big Four or similar public-accounting experience a plus
Understanding of ASC 330 or accounting for environmental credits a plus
Solid understanding of U.S. GAAP, PCAOB guidance and internal controls over financial reporting, financial statement preparation and other compliance requirements
Hands-on experience with ERP systems (QuickBooks) and familiarity with Salesforce integrations
Experience with FP&A, budgeting, forecasting, and KPI reporting-comfortable navigating both historical reporting and forward-looking analysis
Dynamic and flexible leader with a proven ability to perform accounting close processes, generate financial statements and reports, interpret results and explain variances to budget/plan
Ability to scale processes and teams in a fast-paced environment
Collaborative, low-ego leader who is equally comfortable being strategic and rolling up their sleeves
Passion for sustainability and making a tangible impact through regenerative agriculture
What You'll Demonstrate
A proven ability to design and implement processes and internal controls that keep pace with rapid growth
Skill in using data and financial analysis to inform decisions and drive performance
A track record of building and mentoring teams that deliver results
Comfort navigating both the precision of accounting and the forward-looking insights of FP&A
The energy, curiosity, and resilience to thrive in an entrepreneurial, mission-driven culture
Why Join Grassroots Carbon
High-Growth Opportunity: Play a pivotal role in scaling the finance function of a rapidly expanding carbon markets leader
Tangible Climate Impact: Your work enables regenerative grazing across millions of acres-storing carbon, restoring ecosystems, and strengthening rural economies
Entrepreneurial Culture: Join a collaborative, high-performing team with the autonomy to innovate and lead in a fast-paced environment
Competitive Compensation & Benefits: Competitive base salary, performance-based bonus, equity participation, health/dental/vision insurance, flexible PTO, 401(k), and support for professional development
Benefits
Health Insurance plan with $0 deductible and $0 co-pay
Dental and vision insurance plans
Flexible spending account option.
Open Paid Time Off Policy plus 9 paid holidays per year as listed in our Company Handbook
Participation in our 401(k) savings plan
Company-paid Life and AD&D coverage
Educational materials and expenses to support continuing education opportunities
About Soilworks Natural Capital:
Grassroots Carbon is proud to be a portfolio company of Soilworks Natural Capital, which provides shared services to our fast-growing company. Soilworks is a private equity fund that invests in, incubates, and acquires companies to help accelerate the Regenerative Agriculture movement and is on a mission to prove Regenerative grazing is the most profitable way to ranch. Soilworks principles include better and healthier food, restoring plant and animal diversity, regenerating soil to store water and carbon, and creating more profitable family farms. Soilworks was launched by the co-founders of Scaleworks, a technology venture equity fund based in San Antonio, TX.
We are proud to foster a workplace free from discrimination. We strongly believe that diversity of experience, perspectives, and background leads to a better environment for our employees and a better experience for our users and our customers. We are an equal-opportunity employer and do not discriminate against protected characteristics. All candidates will be given the same consideration.
Treasury Manager
Finance leader job in Austin, TX
Saronic Technologies is a leader in revolutionizing defense autonomy at sea, dedicated to developing state-of-the-art solutions that enhance maritime operations for the Department of Defense (DoD) through autonomous and intelligent platforms. Saronic is looking for a hands-on and strategic Treasury Manager to establish and lead our treasury function from the ground up. Reporting to the Senior Director of Tax, this role will design and implement scalable global treasury operations including cash management, liquidity planning, FX risk management, and banking infrastructure. This role will play a pivotal role in scaling financial operations globally and supporting our long-term growth strategy.Key Responsibilities:
Function Buildout & Strategy
Build the end-to-end treasury function-develop policies, controls, reporting, and infrastructure.
Define treasury KPIs, dashboards, and reporting cadence for executive visibility.
Partner with the Senior Director of Tax and Finance leadership to define long-term treasury strategy aligned with business growth and geographic expansion.
Select and implement treasury tools or systems to automate and scale operations.
Develop governance frameworks ensuring compliance with internal controls and SOX standards.
Global Cash & Liquidity Management
Design and manage global cash flow forecasting and funding models.
Ensure sufficient liquidity across multiple currencies and jurisdictions.
Develop intercompany cash structures and manage repatriation strategies where needed.
Establish visibility and forecasting accuracy KPIs to monitor cash performance.
Banking Infrastructure & Relationships
Establish and manage global banking relationships; open accounts and negotiate services as we expand into new markets.
Ensure competitive terms, centralized visibility, and operational efficiency across entities.
Support the setup of local payment rails and banking compliance in new countries.
Maintain centralized control of banking documentation, signatories, and user access across all entities.
FX and Risk Management
Identify and manage foreign exchange exposure as we operate in multiple currencies.
Build risk management strategies (e.g., hedging) as needed to protect against volatility.
Ensure strong treasury controls, segregation of duties, and compliance with both local and global standards.
Collaborate with FP&A to model FX impact on forecasts and margins.
Collaboration & Support
Partner with Accounting, FP&A, Legal, and Tax to support treasury-relevant activities, including international compliance, capital planning, and audits.
Provide treasury insights for strategic decisions, fundraising, or M&A as needed.
Serve as the treasury subject-matter expert to executive leadership and cross-functional partners, providing clear recommendations on cash and risk strategies.
Qualifications:
Bachelor's degree in Finance, Economics, Accounting, or related field (MBA, CFA, or CTP preferred).
6-10 years of treasury or corporate finance experience, ideally with exposure to international operations.
Experience standing up treasury functions in scaling or multinational environments.
Strong understanding of FX, international banking, global cash management, and working capital optimization.
Proficiency with Excel, ERP systems (e.g., NetSuite, SAP), and/or treasury platforms (e.g., Kyriba, TIS).
Advanced communication and leadership skills; ability to influence and collaborate across departments.
Demonstrated ability to manage multiple stakeholders and deliver under fast-paced, growth-oriented conditions.
Physical Demands:
Prolonged periods of sitting at a desk and working on a computer.
Occasional standing and walking within the office.
Manual dexterity to operate a computer keyboard, mouse, and other office equipment.
Visual acuity to read screens, documents, and reports.
Occasional reaching, bending, or stooping to access file drawers, cabinets, or office supplies.
Lifting and carrying items up to 20 pounds occasionally (e.g., office supplies, packages).
Benefits:Medical Insurance: Comprehensive health insurance plans covering a range of services Saronic pays 100% of the premium for employees and 80% for dependents Dental and Vision Insurance: Coverage for routine dental check-ups, orthodontics, and vision care Saronic pays 100% of the premium under the basic plan for employees and 80% for dependents Time Off: Generous PTO and HolidaysParental Leave: Paid maternity and paternity leave to support new parents Competitive Salary: Industry-standard salaries with opportunities for performance-based bonuses Retirement Plan: 401(k) plan Stock Options: Equity options to give employees a stake in the company's success Life and Disability Insurance: Basic life insurance and short- and long-term disability coverage Pet Insurance: Discounted pet insurance options including 24/7 Telehealth helpline Additional Perks: Free lunch benefit and unlimited free drinks and snacks in the office
This role requires access to export-controlled information or items that require “U.S. Person” status. As defined by U.S. law, individuals who are any one of the following are considered to be a “U.S. Person”: (1) U.S. citizens, (2) legal permanent residents (a.k.a. green card holders), and (3) certain protected classes of asylees and refugees, as defined in
8 U.S.C. 1324b(a)(3)
.
Saronic does not discriminate on the basis of race, sex, color, religion, age, national origin, marital status, disability, veteran status, genetic information, sexual orientation, gender identity or any other reason prohibited by law in provision of employment opportunities and benefits.
Auto-ApplyAccepting Resumes for Future Openings: Chula League Treasurer
Finance leader job in Austin, TX
Chula League Treasurer
Who We Are
Chula League is a nonprofit formed in 2005 to support the arts, and art education in East Austin managed by a small, grassroots board of directors.
We work to ensure that the arts play a valued role in the educational, economic, and cultural well being of East Austin neighborhoods. Chula produces a variety of projects to achieve its mission and purpose, including its flagship event the Cherrywood Art Fair and the arts-mentoring program Little Artist BIG ARTIST.
Who You Are
The Treasurer Board role will be responsible for the bookkeeping and financial upkeeping of Chula League, ensuring seamless financial updates, collections, and tax filing. This role sits on the Chula League board on a voluntary basis.
Essential Functions:
Preside at board meetings in chair & vice chair's absence
Maintain Quickbooks bookkeeping files
Schedule online or manually send checks (co-signature needed over $500)*
Create and present Balance Sheet & PL financial reports at board meetings
Serve as chair of Finance committee, develop annual budget
Lead creation of program budgets in partnership with sub-committee chairs
Consult on program sponsorship plans and create sponsor invoices*
Provide financial reporting for grants and annual report*
Maintain digital and/or paper expense receipts & bank statement records*
Maintain D&O and general liability insurance coverage*
Ensure nonprofit standing is maintained with TX SOS and IRS*
Oversee completion + filing of 1099s by Feb 1 & Form 990 tax return by May 15**
Education & Experience
Minimum of a Bachelor's degree in finance, accounting
Nonprofit Bookkeeping/Accounting
Knowledge, Skills, & Abilities
minimum of 2 years of experience in Nonprofit taxes.
Proficient in using Google drive, and Quickbooks management tools.
Project management skills managing complex, multifaceted projects resulting in measurable successes and program growth.
Excellent verbal and written communication skills with exceptional attention to detail.
Personal qualities of integrity, credibility, and a commitment to Chula League's mission of fueling and sustaining the arts in Austin.
Compensation:
This is a Volunteer Position
Please send in a cover letter describing how you meet these qualifications and why you want to contribute to Chula League's mission.
Auto-ApplyFinancial Controller
Finance leader job in San Antonio, TX
X-Technologies is seeking a highly skilled Financial Controller with proven experience managing government contracts. This role will oversee financial operations, ensure compliance with federal regulations, and provide strategic guidance to support organizational growth. The ideal candidate will combine strong technical accounting expertise with deep knowledge of government contracting requirements.
Key Responsibilities
Lead all accounting and financial reporting functions, ensuring accuracy and timeliness.
Oversee compliance with FAR (Federal Acquisition Regulations), GAAP (Generally Accepted Accounting Principles), and other government contract requirements.
Manage budgeting, forecasting, and cash flow planning.
Develop and maintain internal controls to safeguard assets and ensure compliance.
Collaborate with program managers and executives to align financial strategies with contract performance.
Prepare audit schedules and liaise with external auditors and government agencies.
Provide financial analysis to support pricing, proposals, and contract negotiations.
Supervise accounting staff and foster a culture of accountability and continuous improvements.
Conduct month-end close activities including journal and ledger entries, maintenance and prepare financial statements.
Maintain up to date knowledge of accounting practices and government compliance requirements.
Qualifications
Bachelor's degree in Accounting, Finance, or related field (CPA or CMA preferred).
Minimum 7-10 years of progressive accounting/finance experience, with at least 5 years in government contracting.
Strong knowledge of FAR, DFAR, CAS, DCAA audit requirements, and government cost principles.
Demonstrated success in financial leadership roles, preferably within defense, aerospace, or government services industries.
Advanced proficiency in ERP/accounting systems and Microsoft Excel.
Exceptional analytical, organizational, and communication skills.
Preferred Attributes
Experience with cost-plus, fixed-price, and time-and-material contracts.
Background in proposal development and contract pricing.
Ability to thrive in a fast-paced, compliance-driven environment.
Strong leadership and mentoring capabilities.
Compensation & Benefits
Competitive salary commensurate with experience.
Comprehensive benefits package including health, dental, vision, retirement plan, and paid time off.
Professional development opportunities and support for certifications.
Manager of Financial Planning & Analysis - Design Entities
Finance leader job in Austin, TX
DPR Construction is rapidly growing their ability to design and engineer the work that DPR and its prefabrication groups perform. Our engineering firm, GPLA, is a leading firm in the field of structural engineering, dedicated to delivering innovative and efficient solutions for a wide range of construction projects. Integrated Design to Build Services (IDtBS), another DPR company, also provides technical design support to DPR and its related entities.
We are seeking a Manager of Financial Planning & Analysis - Design Entities (Manager of FP&A) to be responsible for the GPLA and IDtBS business financials and other duties as requested. The Manager of FP&A will partner with GPLA and IDtBS leaders, GPLA and IDtBS Core teams, and other F&A leaders to drive consistent processes and consistent and accurate financials. Responsibilities will include but may not be limited to the following:
Team Leadership:
Able to lead in a shared leadership environment achieving positive results more through a culture of positive influence over command and control.
Ensure the function is organized to scale for growth, including identifying and implementing process improvements, and effectively using data and technology.
Perform forward looking business scenario analysis to inform the leadership teams of potential opportunities, risks, and operational needs.
Role & Responsibilities:
Support Design Entities strategies, ensuring alignment with long term company objectives.
Stay current with trends and opportunities to be able to provide insights into the future.
Responsible for assisting and supporting the financial and accounting results at GPLA and IDtBS. This includes both GPLA West (Santa Clara, CA) and East (Baltimore, MD), IDtBS West (San Francisco, CA) and IDtBS East (Raleigh, NC) locations with projects in multiple states.
Be a strategic business partner to GPLA and IDtBS Leadership and core team members.
Report timely and accurate monthly financial information along with an evaluation of risks and opportunities for projects to GPLA, IDtBS and DPR Enterprise F&A.
Direct GPLA & IDtBS day-to-day operational accounting.
Ensure compliance with accounting policies, procedures, local regulations, and internal controls.
Support the business with the annual Business Planning process.
Lead Finance initiatives supporting process improvements within accounting.
Provide analysis of financial position to help drive strategic decisions.
Specific Areas of Focus Include:
Financials:
Manage and update the WIP schedule monthly for Leadership review, including evaluating health of projects.
Prepare draft financials, attend monthly project review meetings, finalize monthly financial package and submit to DPR Enterprise F&A.
Generate monthly MDAs for Design Entities leadership review and alignment.
Assist in preparing backlog data, based on booked and unbooked work and backlog, CRM opportunities and market projections.
Review overhead cost trends and investigate unusual trends.
Monitor utilization rates for direct labor and overhead. Update overhead and labor rates and participate in annual reviews.
Customize financial reports in the system based on requirements needed from operations team.
ERP management, which includes reports, general ledger, processes, chart of accounts set-up, financial statement mapping.
Review financial details of new projects and contracts to ensure accuracy with terms sold prior to adding to the monthly financial report.
Support ad hoc analysis as requested.
Attend Leadership meetings and inform on financials, and any other information as requested.
Accounting:
Understand key owner contract provisions which affect accounting, i.e., billing terms, rates, incentives, penalties, contingency use, audit provisions, etc.
Understand POC accounting and BIE/CIE issues. Identify issues that need to be communicated with project teams and Leadership.
Review of all monthly balance sheet reconciliations prepared by Accountant.
Assist in driving best practices for accounting and the Enterprise.
Follow up with project teams on timeliness of invoices and collections.
Cash Flow - Analyze internal cash flow capacity and forecast future cash needs to support decisions undertaken.
General:
Critical thinkers with problem solving skills using research & analytics.
Able to get further upstream (proactive about identifying trends, issues, troubleshooting, etc.,).
Provide regular and thorough communication with leaders.
Ability to work in a fast-paced environment with little oversight or direction.
Focused on building strong working relationships and creating a positive work environment.
Demonstrates strong organizational skills, plans and manages time efficiently.
Entrepreneurial mindset with ability to identify opportunities and solutions for improvement and efficiency.
Education/Experience Requirements:
10+ years practicing accounting and/or finance support.
BS in Accounting or related field (finance, audit, tax).
Proficiency with accounting software applications.
Construction or design industry experience is preferred.
EPM/Oracle, ERP (Ajera experience is a plus).
Experience working with multiple stakeholders.
DPR Construction is a forward-thinking, self-performing general contractor specializing in technically complex and sustainable projects for the advanced technology, life sciences, healthcare, higher education and commercial markets. Founded in 1990, DPR is a great story of entrepreneurial success as a private, employee-owned company that has grown into a multi-billion-dollar family of companies with offices around the world.
Working at DPR, you'll have the chance to try new things, explore unique paths and shape your future. Here, we build opportunity together-by harnessing our talents, enabling curiosity and pursuing our collective ambition to make the best ideas happen. We are proud to be recognized as a great place to work by our talented teammates and leading news organizations like U.S. News and World Report, Forbes, Fast Company and Newsweek.
Explore our open opportunities at ********************
Auto-ApplyFinancial Controller
Finance leader job in Austin, TX
Join Contoro Robotics - Revolutionizing Warehouse Automation with Cutting-Edge Robotics
At Contoro Robotics, we're on a mission to solve labor challenges through advanced robotic solutions. Headquartered in Austin, TX, our fast-growing startup is transforming the supply chain industry with our flagship warehouse automation technology. Our team is made up of top-tier experts in robotics, AI, and logistics, working together to push the boundaries of automation.
We're looking for talented and ambitious individuals to join us on this journey-helping shape the future of robotics while growing alongside a world-class team. If you're passionate about innovation, problem-solving, and making a real-world impact, we want to hear from you!
Financial Controller
Location: Austin, TX (Onsite)
Department: Corporate Operations
About the Role
We are looking for a highly detail-oriented and strategic Financial Controller to oversee the company's accounting operations, financial reporting, and compliance.
This role will be instrumental in building the financial foundation of our fast-growing robotics startup - ensuring accurate financial reporting, implementing scalable systems, and driving operational excellence as we prepare for continued growth and future fundraising.
Key Responsibilities
Financial Reporting & Compliance
Own and manage all monthly, quarterly, and annual financial close processes.
Prepare accurate and timely financial statements (P&L, balance sheet, cash flow).
Ensure compliance with GAAP and relevant tax/regulatory requirements.
Coordinate and support annual tax filings, R&D tax credits, and potential external audits.
Accounting Operations
Manage AR/AP, payroll journal entries, fixed assets, and accruals.
Oversee general ledger integrity and maintain chart of accounts.
Review, bookkeep, and reconcile transactions, prepaids, and deferred revenue.
Supervise and coordinate with external accountants as needed.
Financial Planning & Analysis (FP&A)
Partner with leadership to build and maintain budget vs. actual reporting.
Provide financial analysis and insights for decision-making.
Work closely with department heads with cost tracking, purchase orders, headcount planning, and project budgets.
Help develop scalable financial processes to support growth.
Systems & Process Improvements
Implement or optimize ERP / accounting system integrations (e.g., QuickBooks, Ramp, Rippling, ERP, etc.).
Establish internal controls and standardized workflows for approvals, spending, and documentation.
Support automation of recurring accounting tasks and financial dashboards.
Cash Management & Strategic Support
Manage cash flow forecasting, vendor payments, and expense approvals.
Support fundraising, venture debt due diligence, and investor reporting.
Collaborate cross-functionally with engineering, deployment, and operations to align financial accuracy with project tracking and cost allocation.
Qualifications
Bachelor's degree in Accounting, Finance, or related field; CPA preferred.
5+ years of accounting or finance experience.
Strong understanding of GAAP, cost accounting, and inventory/capitalization.
Advanced proficiency with QuickBooks Online, Excel/Sheets, and ideally ERP integrations.
Excellent attention to detail, analytical ability, and communication skills.
Nice to Have
Experience in startup or high-growth technology/manufacturing environments strongly preferred.
Experience managing hardware or robotics R&D accounting (e.g., BOM, WIP, prototype capitalization).
Familiarity with stock option accounting (Carta) and venture-backed reporting.
Prior experience building finance functions from the ground up.
Korean bilingual is a plus.
Why Join Us
Be part of a high-impact startup transforming warehouse automation and robotics.
Work closely with the CEO and leadership team on strategic financial planning.
Build scalable financial infrastructure and leave your mark on a company entering its growth stage.
Competitive salary, equity, and comprehensive benefits package.
flexible work hours
free office snacks
Auto-ApplyFinancial Controller
Finance leader job in Austin, TX
MirrorWeb is a fast-growing, Manchester-born scale-up with headquarters in Austin, Texas. We've earned a global reputation for enabling financial firms to manage risk through cutting-edge data archiving and supervision solutions. We help organisations meet their compliance needs more efficiently than ever before. Our platform captures, monitors and stores all digital communications - whether it's emails, MS Teams conversations, iMessages, or anything else. This helps businesses comply with strict regulations and avoid costly fines like the $5 billion issued by the SEC in 2023.
Our mission is simple: to allow firms to communicate freely and confidently with the knowledge that all messages will be monitored and flagged in real-time if noncompliant. Having recently secured significant investment from a U.S. growth equity firm, we're ready for our next phase of rapid expansion in the U.S. market and beyond.
About The Role
We're seeking an experienced Financial Controller to own and elevate our accounting function as we scale. Based in our Austin office, you'll be instrumental in building robust financial processes, ensuring compliance, and providing the financial visibility our leadership team needs to make informed decisions. This is a hands-on role where you'll manage the full spectrum of accounting operations whilst building systems and processes that can scale with our ambitious growth plans. This role reports to the VP Finance.
Key Responsibilities
Financial Reporting & Close Management
Own and drive the monthly, quarterly, and annual close processes, ensuring accuracy and timeliness of financial statements
Prepare financial reports, variance analyses, and management reporting packages to inform executive decision-making
Document footnotes, disclosures, and supporting schedules to supplement financial reporting
Manage foreign currency accounting, including recording transactions in multiple currencies, maintaining foreign currency balance sheet accounts, and calculating gains/losses
Ensure compliance with US GAAP while optimizing for a fast and efficient close that can withstand business growth pressures
Revenue Recognition & Cost Management
Ensure accurate and timely revenue recognition in accordance with ASC 606 for SaaS subscription revenue
Review customer contracts and sales agreements to determine appropriate accounting treatment
Monitor deferred revenue and prepaid expenses specific to subscription-based business model
Develop managerial accounting processes to provide visibility into relevant cost centers
Implement and maintain charge codes to allocate costs to various teams, projects, and customer accounts
Operational Accounting Excellence
Oversee day-to-day accounting operations including accounts payable, accounts receivable, and general ledger activities
Manage the full AR and AP cycles, from invoicing to cash application across multiple currencies
Maintain accurate customer master data and billing information for both domestic and international clients
Manage chart of accounts to ensure proper alignment with the nature of our business
Oversee travel & expense management
Manage sales tax compliance across multiple jurisdictions, including SaaS-specific tax requirements
Controls, Compliance & Systems
Establish and document internal accounting policies and procedures to ensure consistency, compliance, and scalability
Implement effective internal controls across key processes, including procure-to-pay and quote-to-cash
Coordinate external audits and tax fillings ensuring alignment with GAAP standards
Design and implement scalable accounting processes and workflows to support company growth
Ensure accuracy and completeness of financial data across systems, working cross-functionally to improve integrations between accounting, billing, CRM, and expense management platforms
Optimize use of Xero and
Maxio and other SaaS-specific tools
Treasury & Cash Management
Assist with day-to-day cash operations and support treasury functions, including cash forecasting
Optimize cash flow across currencies and manage foreign exchange exposure
Develop strategies to mitigate currency risk
Team Leadership & Collaboration
Supervise and mentor accounting staff, including accounts payable/receivable specialists
Partner with Revenue Operations and Sales teams to ensure accurate contract tracking and revenue reporting
Collaborate with FP&A on budgeting, forecasting, and financial planning activities
Build trusted relationships across finance, sales, and operations teams
Qualifications
Bachelor's degree in Accounting, Finance, or related field
CPA certification (or actively pursuing)
5-7 years of progressive accounting experience, with at least 2 years in a supervisory role
Deep knowledge of US GAAP with hands-on experience in financial reporting, audits, and accounting systems implementation
Proven experience managing month-end close, financial reporting, and operational accounting functions
Strong understanding of ASC 606 revenue recognition for SaaS companies
Experience with multi-currency accounting, foreign exchange management, and international transactions
Proficiency in accounting software and advanced Excel skills
Familiarity with NetSuite, Sage Intacct, or similar cloud-based ERP systems
Experience with SaaS metrics (MRR, ARR, churn, LTV, CAC)
Preferred
Public accounting experience
Experience with high-growth startups or companies in scaling phase
Familiarity with international accounting standards (IFRS) and experience managing accounting for companies with UK or international operations
Experience in regulated industries, particularly financial services
Treasury Manager
Finance leader job in Austin, TX
Evaluate foreign exchange and interest rate exposures to devise and execute hedging strategies. Given the international scope of our business, assess and manage overall foreign currency risk to minimize our profit and loss exposure. Own the process to ensure our foreign exchange risk is mitigated, as well as coordinate with Emerson Corporate to execute and settle hedging transactions. Interact with banking partners on topics such as appropriate user access, bank guarantees, and other day to day banking functions to ensure cash is appropriately available within our multiple global sites and to serve our business partners. Review and update legacy foreign exchange hedging program, including working with Treasury Accounting team to update documentation and reporting, to keep pace with changing business, supply chain, and legal entity structure. Perform quantitative analysis of hedging performance with a focus on identifying areas for improving program effectiveness and efficiency. Assist with quarter-end external reporting process on disclosures related to FX and interest rate derivatives.
Job Requirements:
A Bachelor's degree or the foreign equivalent in Accounting, Finance or Economics plus 5 years of experience in a treasury or finance occupation.
The required experience must include the following:
• 3 years of experience managing a complex global hedging program.
• 3 years of experience overseeing cash flow forecasting and global liquidation optimization.
• 3 years of experience establishing and managing multi-currency cash pools and intercompany funding.
• 3 years of experience managing day-to-day treasury operations including bank relationships, payment processes, and regulatory compliance.
• 3 years of experience identifying, assessing, and mitigating financial risks using derivatives and other financial instruments.
Work location: 11500 North Mopac Expressway, Austin, TX 78759
Apply on company website: *********************************************************** Job ID: 25025266.
Our Culture & Commitment to You
At Emerson, we prioritize a workplace where every employee is valued, respected, and empowered to grow. We foster an environment that encourages innovation, collaboration, and diverse perspectives-because we know that great ideas come from great teams. Our commitment to ongoing career development and growing an inclusive culture ensures you have the support to thrive. Whether through mentorship, training, or leadership opportunities, we invest in your success so you can make a lasting impact. We believe diverse teams, working together are key to driving growth and delivering business results.
We recognize the importance of employee wellbeing. We prioritize providing flexible, competitive benefits plans to meet you and your family's physical, mental, financial, and social needs. We provide a variety of medical insurance plans, with dental and vision coverage, Employee Assistance Program, 401(k), tuition reimbursement, employee resource groups, recognition, and much more. Our culture offers flexible time off plans, including paid parental leave (maternal and paternal),vacation and holiday leave.
#DE-DNI
#LI-DNI
Auto-ApplyFinance Controller Construction General Contractor
Finance leader job in Austin, TX
Benefits:
Competitive salary
Dental insurance
Health insurance
Opportunity for advancement
Job Summary:We are seeking an experienced Controller to join our team! Apex is a leading construction general contractor in the commercial and multifamily. We are seeking a strategic and experienced Controller to join our executive team and lead our financial operations.
Position Summary:
The Controller will be responsible for overseeing all financial aspects of the company, including financial planning and analysis, accounting, tax, treasury, and risk management. The ideal candidate will have a strong background in construction finance and will play a crucial role in shaping the company's financial strategy and growth.
Key Responsibilities:
Financial Strategy and Planning:
Develop and implement financial strategies aligned with the company's overall business objectives
Lead annual budgeting and forecasting processes
Provide financial analysis and insights to support decision-making
Financial Reporting and Accounting:
Oversee the preparation of accurate and timely financial statements
Ensure compliance with GAAP and relevant accounting standards
Manage the annual audit process and relationship with external auditors
Project Financial Management:
Oversee project-based accounting and financial reporting
Implement and maintain effective job costing systems
Analyze project profitability and provide insights for improvement
Cash Flow Management:
Manage cash flow to ensure adequate liquidity for operations and growth
Oversee billing and collections processes
Manage relationships with banks and other financial institutions
Risk Management:
Develop and implement risk management strategies
Oversee insurance programs and surety relationships
Ensure compliance with relevant laws and regulations
Team Leadership:
Lead and develop the finance and accounting team
Foster a culture of continuous improvement and excellence
Technology and Systems:
Evaluate and implement financial systems and technologies to improve efficiency and reporting capabilities
Qualifications:
Bachelor's degree in Accounting, Finance, or related field; MBA or CPA preferred
10+ years of progressive financial management experience, with at least 5 years in a senior leadership role
Significant experience in the construction industry, preferably with a general contractor
Strong understanding of construction accounting principles and practices
Excellent analytical and problem-solving skills
Outstanding leadership and communication abilities
Experience with construction-specific financial software (e.g., Quickbooks, Viewpoint, Procore, Sage)
Compensation: $85,000.00 - $105,000.00 per year
Apex Multifamily Builders is your choice for construction projects for multifamily and commercial properties. Apartment communities renovations and restorations. Property maintenance and management. Roofing and flooring fixtures/repairs. Miscellaneous builds and parking structures repairs. Storage tank inspection, engineering, and maintenance. Much more services.
Auto-ApplyCorporate Finance Analyst (2026 New College Graduate)
Finance leader job in Austin, TX
GlobalFoundries (GF) is a leading full-service semiconductor foundry providing a unique combination of design, development, and fabrication services to some of the world's most inspired technology companies. With a global manufacturing footprint spanning three continents, GF makes possible the technologies and systems that transform industries and give customers the power to shape their markets. For more information, visit ***********
New College Graduates Overview:
We offer many full-time employment paths for recent graduates, which provide accelerated training in a fast-paced work environment, cross-functional working opportunities, and talent mobility. New college graduates are provided with mentorship, networking, and leadership opportunities, which give our new team members life-long connections and skills.
Summary of Role:
Our Finance team is seeking a New College Grad to join our team in Q2 of 2026 at our Malta, NY location. This Financial Analyst will help drive revenue and cost recognition, financial planning and forecasting on engineering service projects globally across our dynamic businesses and functions. The candidate will work across the organization to understand accounting impacts, key business issues and devise actionable strategic recommendations with corroborating financial analysis.
Essential Responsibilities include:
Prepare monthly journal entries, maintain associated internal controls and assist in quarterly balance sheet reconciliation.
Track project progress and forecast revenue / costs by projects to ensure forecast accuracy.
Detailed working knowledge of the Excel and PowerPoint applications within Microsoft Office
Maintain complex financial models used for profitability analysis and cash flow planning.
Monitor financial performance by analyzing and reporting on variances from plan.
Conduct ad-hoc analysis to ensure the best corporate decisions are made to achieve operational and financial objectives.
Increase productivity by working with internal partners to develop repeatable business processes.
Develop and maintain strong relationships with project management, R&D, Controllership and site finance teams.
Other Responsibilities:
Perform all activities in a safe and responsible manner and support all Environmental, Health, Safety & Security requirements and programs.
Required Qualifications:
Education - Graduating with a Bachelor's in Finance, Business, Accounting or related field from an accredited degree program.
Must have at least an overall 3.0 GPA and proven good academic standing.
Language Fluency - English (Written & Verbal)
Preferred Qualifications:
Prior related internship or co-op experience.
Demonstrated prior leadership experience in the workplace, school projects, competitions, etc.
Project management skills, i.e. the ability to innovate and execute on solutions that matter; the ability to navigate ambiguity.
Strong written and verbal communication skills.
Strong planning & organizational skills.
Keen attention to detail.
#NCGProgramUS
Expected Salary Range
$47,300.00 - $84,400.00
The exact Salary will be determined based on qualifications, experience and location.
If you need a reasonable accommodation for any part of the employment process, please contact us by email at usaccommodations@gf.com and let us know the nature of your request and your contact information. Requests for accommodation will be considered on a case-by-case basis. Please note that only inquiries concerning a request for reasonable accommodation will be responded to from this email address.
An offer with GlobalFoundries is conditioned upon the successful completion of pre-employment conditions, as applicable, and subject to applicable laws and regulations.
GlobalFoundries is fully committed to equal opportunity in the workplace and believes that cultural diversity within the company enhances its business potential. GlobalFoundries goal of excellence in business necessitates the attraction and retention of highly qualified people. Artificial barriers and stereotypic biases detract from this objective and may be illegally discriminatory.
All policies and processes which pertain to employees including recruitment, selection, training, utilization, promotion, compensation, benefits, extracurricular programs, and termination are created and implemented without regard to age, ethnicity, ancestry, color, marital status, medical condition, mental or physical disability, national origin, race, religion, political and/or third-party affiliation, sex, sexual orientation, gender identity or expression, veteran status, or any other characteristic or category specified by local, state or federal law
Auto-ApplyTreasury Manager
Finance leader job in Austin, TX
Job DescriptionSaronic Technologies is a leader in revolutionizing defense autonomy at sea, dedicated to developing state-of-the-art solutions that enhance maritime operations for the Department of Defense (DoD) through autonomous and intelligent platforms.
Saronic is looking for a hands-on and strategic Treasury Manager to establish and lead our treasury function from the ground up. Reporting to the Senior Director of Tax, this role will design and implement scalable global treasury operations including cash management, liquidity planning, FX risk management, and banking infrastructure. This role will play a pivotal role in scaling financial operations globally and supporting our long-term growth strategy.Key Responsibilities:
Function Buildout & Strategy
Build the end-to-end treasury function-develop policies, controls, reporting, and infrastructure.
Define treasury KPIs, dashboards, and reporting cadence for executive visibility.
Partner with the Senior Director of Tax and Finance leadership to define long-term treasury strategy aligned with business growth and geographic expansion.
Select and implement treasury tools or systems to automate and scale operations.
Develop governance frameworks ensuring compliance with internal controls and SOX standards.
Global Cash & Liquidity Management
Design and manage global cash flow forecasting and funding models.
Ensure sufficient liquidity across multiple currencies and jurisdictions.
Develop intercompany cash structures and manage repatriation strategies where needed.
Establish visibility and forecasting accuracy KPIs to monitor cash performance.
Banking Infrastructure & Relationships
Establish and manage global banking relationships; open accounts and negotiate services as we expand into new markets.
Ensure competitive terms, centralized visibility, and operational efficiency across entities.
Support the setup of local payment rails and banking compliance in new countries.
Maintain centralized control of banking documentation, signatories, and user access across all entities.
FX and Risk Management
Identify and manage foreign exchange exposure as we operate in multiple currencies.
Build risk management strategies (e.g., hedging) as needed to protect against volatility.
Ensure strong treasury controls, segregation of duties, and compliance with both local and global standards.
Collaborate with FP&A to model FX impact on forecasts and margins.
Collaboration & Support
Partner with Accounting, FP&A, Legal, and Tax to support treasury-relevant activities, including international compliance, capital planning, and audits.
Provide treasury insights for strategic decisions, fundraising, or M&A as needed.
Serve as the treasury subject-matter expert to executive leadership and cross-functional partners, providing clear recommendations on cash and risk strategies.
Qualifications:
Bachelor's degree in Finance, Economics, Accounting, or related field (MBA, CFA, or CTP preferred).
6-10 years of treasury or corporate finance experience, ideally with exposure to international operations.
Experience standing up treasury functions in scaling or multinational environments.
Strong understanding of FX, international banking, global cash management, and working capital optimization.
Proficiency with Excel, ERP systems (e.g., NetSuite, SAP), and/or treasury platforms (e.g., Kyriba, TIS).
Advanced communication and leadership skills; ability to influence and collaborate across departments.
Demonstrated ability to manage multiple stakeholders and deliver under fast-paced, growth-oriented conditions.
Physical Demands:
Prolonged periods of sitting at a desk and working on a computer.
Occasional standing and walking within the office.
Manual dexterity to operate a computer keyboard, mouse, and other office equipment.
Visual acuity to read screens, documents, and reports.
Occasional reaching, bending, or stooping to access file drawers, cabinets, or office supplies.
Lifting and carrying items up to 20 pounds occasionally (e.g., office supplies, packages).
Benefits:Medical Insurance: Comprehensive health insurance plans covering a range of services Saronic pays 100% of the premium for employees and 80% for dependents Dental and Vision Insurance: Coverage for routine dental check-ups, orthodontics, and vision care Saronic pays 100% of the premium under the basic plan for employees and 80% for dependents Time Off: Generous PTO and HolidaysParental Leave: Paid maternity and paternity leave to support new parents Competitive Salary: Industry-standard salaries with opportunities for performance-based bonuses Retirement Plan: 401(k) plan Stock Options: Equity options to give employees a stake in the company's success Life and Disability Insurance: Basic life insurance and short- and long-term disability coverage Pet Insurance: Discounted pet insurance options including 24/7 Telehealth helpline Additional Perks: Free lunch benefit and unlimited free drinks and snacks in the office
This role requires access to export-controlled information or items that require “U.S. Person” status. As defined by U.S. law, individuals who are any one of the following are considered to be a “U.S. Person”: (1) U.S. citizens, (2) legal permanent residents (a.k.a. green card holders), and (3) certain protected classes of asylees and refugees, as defined in
8 U.S.C. 1324b(a)(3)
.
Saronic does not discriminate on the basis of race, sex, color, religion, age, national origin, marital status, disability, veteran status, genetic information, sexual orientation, gender identity or any other reason prohibited by law in provision of employment opportunities and benefits.