Oracle Finance R2R Lead
Finance leader job in Atlanta, GA
Role name: Oracle Finance R2R Lead - Cloud
Work site: Chicago IL / Washington, DC / NJ - Bridgewater / Houston & Dallas / Atlanta, GA / Columbus OH / Columbia SC / Nashville TN
Fulltime
Job Description:
12 to 14 years of experience as a Functional SME with expertise in Oracle Cloud Finance Product Support Lead R2R (GL/intercompany/Cash Management) (nice to have Oracle Cloud and PPM Billing & Costing)
Proven experience in understanding and troubleshooting PaaS solutions to meet specific business needs.
Extensive knowledge in the Staffing domain and its integration with Oracle Cloud Finance.
Experience with PeopleSoft Paybill is preferred.
Strong expertise in Oracle Fusion PPM modules: Project Costing, Project Contracts, Project Foundation, Project Resource Management, and Project Billing.
Excellent communication skills, with experience in client-facing roles, ensuring the smooth delivery of complex solutions to stakeholders.
Regards
Rahul Bansiwaal
**********************************************
************ | Office: ************** EXT: 444
rahulb@net2source>com
www>net2source>com
270 Davidson Ave, Suite 704, Somerset, NJ 08873, USA
Knowledge is Power>
Vice President Finance
Finance leader job in Atlanta, GA
Our company is building the next generation of specialty spine, neck and brain care, making it radically easier for patients, employers, providers, and payors to access high-quality, efficient care. The practice is undergoing an exciting period of growth and innovation. We're looking for a hands-on VP of Finance to own our finance and revenue cycle functions end-to-end and help scale our organization through its next phase of growth.
As our VP of Finance, you'll serve as a strategic business partner to the portfolio company's CEO and leadership team driving financial performance, operational efficiency, and scalable systems that enable both clinical and business excellence. You'll lead a growing team and be responsible for corporate finance, FP&A, accounting, and revenue cycle management across the enterprise.
This is a builder role: you'll architect the financial infrastructure, roll up your sleeves to execute, and iterate quickly based on data and insights.
What you'll own
You'll be responsible for building a world-class finance function that supports the company's mission, growth, and operational discipline.
1. Corporate Finance (80%)
Strategic Planning & FP&A
Lead all financial planning, budgeting, forecasting, and strategic modeling to support growth and new initiatives.
Partner with the CEO and leadership team to translate strategic objectives into actionable financial plans.
Accounting & Controls
Oversee all accounting operations, including monthly and annual close, audit readiness, and financial compliance.
Ensure accuracy, timeliness, and transparency across reporting processes.
Performance Measurement
Design and maintain executive KPI dashboards and internal reporting infrastructure.
Deliver clear financial insights and recommendations that drive decision-making.
Cash Flow & Capital Management
Manage banking relationships, credit facilities, cash flow forecasting, and capital allocation.
Evaluate investment and financing opportunities to optimize the company's capital structure.
Business Partnering
Provide strategic financial guidance on new service lines, M&A opportunities, and technology investments.
Support operational teams with data-driven insights to improve margins, productivity, and ROI.
2. Revenue Cycle Management (20%)
RCM Leadership
Oversee end-to-end revenue cycle operations, including documentation, coding, charge capture, and payer contracting.
Implement performance dashboards to monitor key RCM metrics (AR days, denial rates, collection efficiency).
Payer Relations & Contracting
Strengthen payer relationships to optimize reimbursement and reduce denials.
Negotiate contracts that align incentives and improve cash conversion cycles.
Compliance & Optimization
Partner with clinical leaders to ensure compliant, efficient billing processes.
Leverage AI and automation tools to streamline workflows, reduce manual work, and increase throughput.
What we're looking for
Must-have experience
5+ years in a finance leadership role within a small or high-growth organization; healthcare experience strongly preferred.
Proven track record of leading FP&A, accounting, and revenue cycle functions with full ownership of financial results.
Deep understanding of GAAP accounting, healthcare billing, and RCM operations.
Strong analytical and technical orientation, comfortable using automation, data analytics, and AI-driven tools.
Exceptional communicator able to translate financial data into actionable strategy for executives, clinicians, and investors.
Demonstrated ability to build scalable financial systems and deliver measurable impact.
Proven people leader with experience managing and developing cross-functional finance teams.
Academic excellence GPA 3.7+ from a top-tier university or equivalent achievement.
How you work
Hands-on: You're comfortable digging into models, reconciling accounts, and refining reports, whatever it takes to get to truth and clarity.
Owner mentality: You think in terms of enterprise value and long-term impact, not just monthly results.
Analytical & curious: You love finding insights in numbers and building the systems that make them visible.
Collaborative: You communicate clearly across clinical, operational, and executive teams to keep everyone aligned.
Low ego, high EQ: You balance rigor with empathy, driving results while building trust.
What we're offering
Base Salary: $200,000 - $250,000 per year, depending on experience and fit.
Upside: Participation in the company's stock option program (meaningful equity aligned with value creation).
Comprehensive benefits: Medical, dental, and vision coverage.
Retirement plan: 401(k) or equivalent with employer contribution/match.
Paid time off: Competitive vacation, sick leave, and holidays.
Professional development: Support for courses, certifications, and leadership programs relevant to finance and healthcare.
High-impact environment: Direct visibility from your work to patient outcomes, operational performance, and enterprise value creation across Cade's healthcare portfolio.
Director of Patient Financial Services- 248890
Finance leader job in Thomasville, GA
🏥 Director of Patient Financial Services (Revenue Cycle)
💼 Full-Time | Onsite Leadership Role
🕗 Monday-Friday | 8:00 AM - 5:00 PM
💰 Salary Range: $130,000 - $180,000
✨ Overview
We are seeking an experienced Director of Patient Financial Services to lead revenue cycle operations for a large, multi-site health system. This is a high-impact leadership role overseeing hospital and long-term care revenue operations, driving cash performance, optimizing systems, and building a strong, accountable team culture.
If you thrive in complex healthcare environments and enjoy leading large teams while influencing financial outcomes at scale, this role offers both challenge and long-term growth. 🚀
🔑 What You'll Do
• Provide strategic oversight of financial operations across multiple hospitals and long-term care facilities
• Lead all aspects of accounts receivable, cash collections, and third-party reimbursement strategy
• Direct and mentor PFS managers and staff, fostering integrity, accountability, and performance
• Oversee implementation and optimization of EHR and business office systems
• Ensure compliance with HIPAA and federal billing and patient data regulations
• Partner with executive leadership to support revenue cycle transformation and performance improvement
🎯 What We're Looking For
• 10+ years of healthcare or revenue cycle experience (hospital setting strongly preferred)
• 5+ years in healthcare leadership or management roles
• Strong understanding of acute care hospital business office operations
• Proven financial acumen, including payer negotiations and contract interpretation
• Hands-on experience with hospital EHR systems, Microsoft Office, and reporting tools
• Ability to make independent, sound decisions in a fast-paced, high-visibility environment
🌟 Nice to Have
• Recent experience leading or supporting EHR implementations or system-wide conversions
💼 Why This Role Stands Out
• Lead revenue operations for a 500+ bed, multi-facility health system with a long-standing community presence
• Direct exposure to executive leadership, reporting to the VP of Revenue Cycle
• Opportunity to help build and shape a growing revenue cycle department
• Strong commitment to employee wellness, work/life balance, and leadership development
• Comprehensive benefits package including retirement programs, low-cost prescriptions, and paid life insurance
🤝 Ideal Leadership Traits
• Resilient and confident in high-profile healthcare environments
• Ethical, integrity-driven leader who sets the standard for excellence
• Clear communicator with strong interpersonal and negotiation skills
📅 Interview Timeline
Virtual interviews with the VP of Revenue Cycle will take place soon, with candidates being reviewed and scheduled promptly.
If you're a seasoned revenue cycle leader ready to make a lasting impact, this is an opportunity worth exploring. 💼✨
Senior Manager, Corporate Finance
Finance leader job in Atlanta, GA
Senior Manager, Corporate Finance This position is based in Atlanta, GA in our Galleria office and is an on-site role. Applicants in CA, CO, DC, HI, IL, MD, MA, MN, NJ, NY, RI, VT, and WA are not eligible for this posting. Senior Manager, Corporate Finance The Senior Manager, Corporate Finance, will play a critical role in overseeing the organization's daily capital and liquidity management, while also driving long-term strategic planning initiatives across the business. This highly visible position will also serve as the primary liaison to multiple lending partners, ensuring timely delivery of all required documentation and managing the related flow of funds. The position involves regular collaboration with internal teams such as accounting, treasury, analytics, and merchandising, as well as external communication with lending partners. This role requires strong organizational and communication skills, along with experience in finance operations and relationship management. The Details What You Need: * Advanced financial modeling and quantitative analysis skills * Proficient in Microsoft Office Suite, especially Excel and PowerPoint * Strong understanding of financial concepts, particularly credit facilities and debt instruments * Solid business acumen with the ability to apply financial knowledge to decision-making and problem-solving across various situations * Excellent written and verbal communication skills, with the ability to clearly convey complex processes and financial information to diverse audiences * Strong attention to detail and high degree of accuracy in work products * Effective collaboration and interpersonal skills for working across teams and with external partners What You'll Do: * Develop and maintain complex financial models, including multi-year, three-statement models and weekly cash flow forecasts * Oversee liquidity management in coordination with treasury and other business functions * Track and manage the deliverables to lending partners, such as borrowing base submissions and required compliance reporting * Collaborate with cross-functional teams to produce both recurring and ad-hoc reporting and analysis * Ensure reporting processes and deliverables meet high standards for accuracy and timeliness * Prepare clear and effective financial and operational presentations for both internal and external stakeholders * Apply financial analysis and a variety of quantitative and qualitative methods to assess business issues, summarize findings, and propose actionable recommendations Additional Requirements: * Bachelor's Degree in Accounting or Finance * 7 years of relevant experience * 2+ years of supervisory experience preferred * MBA is a plus but not required Aaron's Total Rewards Our team members are our greatest asset. As an expression of our appreciation, Aaron's is proud to offer outstanding career training, competitive performance incentives, excellent advancement opportunities, and a distinctive benefits package which includes**: * Paid time off, including vacation days, sick days, and holidays * Medical, dental and vision insurance * 401(k) plan with contribution matching *Note that the pay range provided above is the lowest to highest rate we in good faith believe we would pay for this role at the time of this posting. We may ultimately pay more or less than the posted range, and the range may be modified in the future. An employee's pay position within the salary range will be based on several factors including, but limited to, relevant education, qualifications, certifications, skills, geographic location, performance, shift, travel requirements, sales or revenue-based metrics, any collective bargaining agreements, and business or organizational needs. Note: No amount of pay in wages or compensation until such amount is earned, vested, and determinable. The amount and availability of any bonus, commission, or any other form of compensation that are allocable to a particular employee remains in the Company's sole discretion unless and until paid and may be modified at the Company's sole discretion, consistent with the law. **Benefits vary based on full-time employment status.
Plant Controller (Plant based)
Finance leader job in Perry, GA
About the Role
The primary responsibility of the Plant Controller is to provide management, both corporate and plant, with accurate and timely accounting and financial analysis support to assist in making informed production, sales and marketing decisions and to direct an accounting staff. Lead, coach, engage and professionally develop team members with a focus on developing functional, interpersonal, and leadership skills. Real cost ownership, not just corporate reporting.
About the Company
Jack Link's Protein Snacks is a global leader in snacking and the No. 1 meat snack brand in America. Family-owned and operated with headquarters in Minong, Wisconsin, Jack Link's Protein Snacks also has a large corporate hub in Downtown Minneapolis, Minnesota. The company's house of brands is made up of over 4,000 passionate team members, across 11 countries, who share an uncompromising commitment to delivering awesome products and feeding the journey of those who move things forward. The Jack Link's Protein Snacks portfolio of brands includes, Jack Link's, Lorissa's Kitchen, Wild River, Golden Island, Matador, BiFi and Peperami.
Responsibilities
Prepare plant budgets and forecasts
Develop and maintain effective cost reporting and accounting mechanisms for production and inventory expenditures
Analyze production, inventory, and labor costs - working with plant leadership to recommend and implement cost saving opportunities
Oversee fixed asset management - capitalizing, transferring, and retiring assets as needed
Supervise annual fixed asset audit and prepare capital expenditure requests for the plant
Maintain accurate inventory records and administer plant cycle counting program
Post transactions to the General Ledger and otherwise assist in month end closing and preparation of monthly financial statements
Ensure POs and invoices are properly coded to the correct general ledger accounts and work with AP department on timely payments
Assist in the evaluation and modification of accounting policy and procedure to increase accounting productivity
Supports new item setup and costing of bill of materials
Present plant financial results to senior leadership on a monthly basis
Assist the corporate cost accounting team in the development of periodic reporting on key plant KPI's (key performance indicators) for senior operations leadership
Performs other duties and responsibilities as necessary
Qualifications
Required Education: BA/BS Degree in Accounting or Finance or equivalent
Required Experience: 5+ years of prior experience in a cost accounting capacity, 2+ years of prior experience in a supervisory capacity in an accounting function
Required Skills
Advanced PC and Internet navigation skills, particularly Excel
Advanced analytical skills and ability to analyze financial data, make informed decisions, and communicate financial implications/results
Excellent interpersonal skills
Excellent oral and written communication skills; must work effectively with all levels of leadership and team members
Attention to detail; ensure accuracy in financial reporting and compliance
Experience using an ERP (ideally SAP) to control supply chain financials
Strong knowledge of accounting principles and practices
Demonstrated effective leadership, problem solving, presentation, and team member motivational skills
Preferred Skills
Prior Controller experience
Cost Accounting experience in retail, food, grocery or a consumer goods organization
Experience with SAP
Greenfield Manufacturing experience
CPA
Prior business management experience
Pay range and compensation package
The salary range for this role is $110,000 - $140,000 (Annually). Actual salaries will vary based on several factors, including but not limited to external market data, internal equity, location, and candidate skill set and experience. Base pay is just one component of Jack Link's Total Rewards package for Team Members. Other rewards may include annual incentive and program-specific awards. Jack Link's provides a variety of benefits to eligible Team Members, including medical, dental and vision benefits, life and disability insurance, 401k participation, paid holidays, and paid time off.
Equal Opportunity Statement
EQUAL EMPLOYMENT OPPORTUNITY EMPLOYER: Jack Link's provides equal employment opportunity (EEO) to all persons regardless of age, color, national origin, citizenship status, physical or mental disability, race, religion, creed, gender, sex, sexual orientation, gender identity and/or expression, genetic information, marital status, status with regard to public assistance, veteran status, or any other characteristic that is protected by federal, state or local law.
E-VERIFY: Jack Link's is participant in the federal E-Verify program to confirm the identity and employment authorization of all newly hired employees. For information about the E-Verify program, please visit: ***************************************
All your information will be kept confidential according to EEO guidelines.
Sr Manager Financial Planning and Analysis
Finance leader job in Weston, FL
Sr. Manager, FP&A - Drive Strategy and Financial Excellence at DHL!
At DHL, our people are the heart of everything we do. Their passion and commitment make us the #1 logistics company in the world. We're proud to be Certified as a Great Place to Work and recognized as a Top Employer, because we believe in creating an environment where careers thrive and personal lives shine just as bright.
Now, we're looking for a Sr. Manager, Financial Planning & Analysis (FP&A) to join our team and play a pivotal role in shaping financial performance and strategic decision-making.
What You'll Do
As Sr. Manager FP&A, you'll be the financial strategist behind the numbers-partnering with senior leaders, influencing decisions, and ensuring alignment between regional and corporate goals. Your responsibilities will include:
Lead Financial Planning & Forecasting
Develop annual budgets, monthly forecasts, and long-range plans that align with strategic objectives.
Enhance financial models for scenario planning and cash flow forecasting.
Deliver Insightful Reporting & Analysis
Prepare monthly reports, variance analyses, and executive presentations.
Identify trends, risks, and opportunities to drive better outcomes.
Be the Corporate Liaison
Act as the key link between regional FP&A and Corporate Finance, ensuring compliance and consistency.
Partner Across the Business
Collaborate with Operations, Commercial, and IT teams to provide financial insights that shape decisions.
Drive Process Improvements
Implement best practices and optimize FP&A tools and reporting systems.
Lead & Mentor
Build and guide a high-performing team, fostering growth and accountability.
What We're Looking For
Bachelor's degree in Finance, Accounting, Economics (MBA or CPA preferred)
7+ years in FP&A or corporate finance, with 5+ years in leadership roles
Strong analytical skills and advanced Excel expertise
Experience with financial systems (SAP, Power BI preferred)
Excellent communication skills and business acumen
Why Join DHL?
Competitive compensation and benefits
A culture that values collaboration, innovation, and growth
Opportunities to make an impact in a global organization
Work-life balance with minimal travel (
Ready to take your career to the next level? Apply today and help us continue building the world's leading logistics company.
DHL is an Equal Opportunity Employer - Veterans/Disability
Senior Finance Manager
Finance leader job in Atlanta, GA
We're looking for a Senior Manager, Corporate Finance to lead capital and liquidity management, elevate long-term strategic planning, and serve as a trusted partner to our lending institutions. This high-impact role partners daily with accounting, treasury, analytics, and merchandising-helping guide financial decisions that shape the future of the business.
What You'll Do:
• Build and manage advanced financial models (3-statement, multi-year, weekly cash flow)
• Oversee liquidity planning in partnership with Treasury
• Own all lending partner deliverables, including borrowing base submissions and compliance reporting
• Collaborate cross-functionally to produce accurate, timely reporting and analysis
• Present financial and operational insights to both internal and external stakeholders
• Apply rigorous quantitative and qualitative analysis to drive recommendations and decision-making
Requirements:
• Deep expertise in capital structure and liquidity management
Consulting or restructuring experience
• Advanced modeling + strong Excel/PowerPoint skills
• Strong understanding of credit facilities and debt instruments
• Exceptional communication, accuracy, and attention to detail
• Ability to collaborate across teams and manage external relationships
• Bachelor's in Finance/Accounting + 7 years of relevant experience (2+ years leadership preferred)
Bonus Points:
• • PE-backed environment exposure
• MBA
• Experience with Anaplan, Power BI, SQL
If you're ready to take on a visible, strategic role with room to grow-we'd love to connect.
Microsoft Dynamics 365 Finance & Operations
Finance leader job in Jacksonville, FL
Delivery Architect -Microsoft Dynamics 365 Finance & Operations
Hybrid | Jacksonville, FL
12+ month Contract
10+years of experience,The Delivery Architect will be responsible for providing technical leadership in the design,documentation, and review of technology solutions that meet business and IT needs. This rolewill lead end-to-end solution delivery, act as the escalation point for all technical delivery
issues, and ensure alignment with enterprise architecture standards.
Key Responsibilities:
• Lead end-to-end implementation of Microsoft Dynamics 365 Finance & Operations (F&O;)
solutions.
• Design and deliver Azure cloud-native architectures and integrations with enterprise
systems.
• Develop and document solution and data architecture aligned with enterprise standards.
• Oversee technical delivery, manage risks, and ensure high-quality outcomes.
• Collaborate with IT, business stakeholders, and third-party vendors to achieve project
objectives.
• Drive reusability, performance optimization, and adherence to best practices.
Required Skills & Experience:
• 10+ years of experience in application development and technical architecture.
• Extensive hands-on experience with Dynamics 365 F&O; and related integrations.
• Strong understanding of Azure cloud components, CI/CD pipelines, and API technologies.
• Proficiency in .NET, C#, SQL Server, and Microsoft DevOps tools.
• Excellent communication and stakeholder management skills.
• Bachelor's degree in Computer Science or related field preferred.
Candidates must be located in or willing to relocate to Jacksonville, FL for a hybrid work
schedule.
Controller
Finance leader job in Tampa, FL
Exciting Opportunity for a Skilled Controller at a Leading Manufacturing Firm Our Client, a rapidly expanding manufacturer specialising in aerospace and defence industries, is looking to recruit an experienced Controller to join their dynamic team. Renowned for fostering a culture of innovation and growth, they offer a collaborative environment where finance professionals can make a significant impact and drive strategic success. This is a fantastic opportunity to lead core financial operations within a forward-thinking organisation committed to excellence.
Role Overview
In response to continued growth and strategic initiatives, our Client is seeking a talented Controller to oversee their financial and accounting functions. This pivotal leadership position is designed for a experienced finance professional who can shape the company's financial health while supporting operational objectives. The ideal candidate will bring both technical prowess and strategic insight to ensure robust financial management within a fast-paced manufacturing setting.
Key Responsibilities
Lead and manage all essential accounting functions including accounts payable, receivable, payroll, cash management, and general ledger activities
Oversee the monthly, quarterly, and annual close processes, ensuring accurate and compliant financial statements in accordance with GAAP
Provide comprehensive analysis of financial statements, including balance sheets, income statements, and cash flows to inform business decisions
Drive cost accounting initiatives, inventory accuracy, and margin analysis; collaborate across departments to enhance ERP data accuracy, cycle counts, and scrap reduction strategies
Manage cash flow forecasting, banking relations, and borrowing base reporting to support liquidity needs
Lead the budgeting, forecasting, and variance analysis processes, advising leadership on operational and strategic planning
Coordinate external audits, ensuring compliance with all regulatory requirements including GAAP and ITAR
Support tax planning, compliance, and liaise with external advisors as needed
Identify and implement process improvements across accounting, reporting, and ERP workflows to optimise efficiency
Monitor key financial metrics, providing actionable insights and recommendations to drive performance and growth
Assist in capital investment evaluations, pricing strategies, and long-term planning discussions
Present financial insights and forecasts directly to executive leadership, supporting strategic decision-making
Essential Skills & Experience
Proven experience as a financial leader within a manufacturing environment, with a minimum of 8-12 years in progressive roles
Demonstrable expertise in GAAP, cost accounting, inventory management, and financial compliance standards
Hands-on experience with ERP systems such as Acumatica, NetSuite, SAP, or Infor
Strong analytical skills with advanced proficiency in Excel and financial modeling techniques
U.S. citizenship is essential due to aerospace and defence regulatory requirements
Excellent leadership capabilities with a results-driven approach and a focus on continuous improvement
Strong communication skills, with the ability to present complex financial data clearly and persuasively to senior stakeholders
Desirable Skills & Experience
Prior experience working within heavily regulated sectors such as aerospace or defence
Familiarity with ITAR compliance and related regulatory frameworks
Experience in strategic planning and long-term financial growth management
Proactive mindset with a focus on process optimisation and operational efficiency
How to Apply
If you possess the relevant expertise and are excited about making a meaningful contribution to a pioneering manufacturing organisation, we invite you to submit your CV for consideration. Join a company that values innovation, detailed financial stewardship, and leadership-your next career move awaits.
Corporate and Transactional Analyst (CPA)
Finance leader job in Atlanta, GA
James Bates Brannan Groover LLP, a leading law firm with offices in Atlanta, Macon, and Athens, Georgia, is seeking an experienced CPA to join the Corporate and Transactional group as an analyst in our Atlanta office.
Our firm believes in the importance of our people. We strive to provide the best experience for our employees and clients by living out our core values: Servant Leadership, Pursuit of Excellence, Integrity, and Respect for Others.
Our Corporate and Transactional Group represents founder-led and family-owned businesses across a wide variety of complex corporate matters with a focus on sell-side mergers and acquisitions. Our Corporate and Transactional Group has negotiated successful exits for our clients against the largest and most sophisticated strategic and financial buyers in the country. We have closed transactions having over $2 billion enterprise value in recent years.
This position would be based in our Atlanta office, and you would work directly with the attorneys in that office. This opportunity allows the CPA to work on complex and interesting transactions in a boutique environment. You would have direct contact with clients in a wide array of industries (e.g., industrial, mechanical, manufacturing, construction, logistics, professional services, etc.) as they engage in what is likely the most significant financial decision of their lives. This CPA would be a direct member of the Corporate and Transactional Group and work alongside its attorneys. Having practiced together the majority of their legal careers, the attorneys in our Corporate and Transactional Group are a tight-knit group, and we are looking for another valued member to join. The person who previously held this position moved to another industry.
This CPA analyst would also assist in estate and gift planning analysis to work in conjunction with the other CPA analysts who work at the firm. These services would include review of gift tax returns and some assistance in reviewing and drafting wills, trusts and other estate planning documents.
Qualifications
Active CPA license required
5-10 years of experience in public accounting, corporate finance, and transactional tax
Solid understanding of financial statements and financial accounting principles
Comprehensive knowledge of corporate tax (primarily S corporations) and partnership tax concepts
Excellent analytical and organizational skills with strong attention to detail
Ability to manage multiple projects and deadlines in a fast-paced, team-oriented environment
Key Responsibilities
Perform tax and financial analysis for business transactions, mergers, and acquisitions
Assist attorneys with structuring and modeling transactions for tax efficiency and compliance
Review and interpret financial statements, tax returns, and related documentation
Conduct due diligence and prepare financial summaries for client and internal use
Research tax laws and corporate compliance issues relevant to ongoing matters
Develop creative and strategic plans to address purchase price adjustment provisions, such as working capital adjustments
Analyze and plan for potential tax recapture issues associated with asset dispositions, depreciation, and deferred exchanges
Creative problem solving to identify innovative, practical solutions that support client goals and transaction success
Collaborate with attorneys to develop and implement strategic business and tax solutions
Work closely with clients' accountants on due diligence and transaction-related tax implications
Director of Operations - Outsourced Accounting, 78974
Finance leader job in Orlando, FL
Director of Operations - Outsourced Accounting
Our client is a growing outsourced accounting firm delivering high quality accounting services to a niche industry sector. The business is experiencing significant growth and is seeking a Director of Operations to help professionalize, scale and optimize operations in partnership with the senior leadership team.
The Director of Operations will ensure the firm operates efficiently, profitably and with a consistently high level of service. The position requires a hands-on leader with previous experience working with an outsourced accounting or legal services firm to manage people, processes, systems and performance while enabling scalable growth. The Director of Operations will oversee all day-to-day operations, optimize processes, establish KPIs and maintain a high level of client satisfaction.
An attractive compensation packaging including bonus incentives and benefits is included.
Senior Financial Analyst
Finance leader job in Port Saint Lucie, FL
***LOCAL CANDIDATES ONLY***
Lead Financial Analyst - RCM FP&A
Compensation: $100,000-$110,000 base salary
Work Environment: Collaborative, analytical, fast-paced healthcare finance team
Overview
Our client, a growing healthcare organization is seeking a Lead Financial Analyst - RCM FP&A to provide strategic financial and analytical support to Revenue Cycle Management (RCM) and Order-to-Cash functions, including Customer Service and Referral Management. This role will partner closely with senior leadership to drive financial insight, improve collectability, and optimize revenue performance through deep data analytics. This is a highly visible role for an analytically strong finance professional who enjoys working with large data sets, influencing stakeholders, and translating complex data into actionable business insights.
Key Responsibilities
Revenue Cycle Management & Analytics (80%)
Serve as a finance partner to RCM and Order-to-Cash leadership, providing data-driven insights
Analyze large, complex data sets using tools such as Power BI, Power Query, and Excel
Develop and report on KPIs related to AR aging, collection rates, denials, audits, bad debt, and payer adjustments
Prepare monthly collectability, write-off, denial, and audit reporting
Build financial models to forecast and measure the impact of initiatives aimed at improving payments and reducing denials
Identify trends, risks, and opportunities and clearly communicate findings to leadership
Support SG&A management and efficiency initiatives within the Order-to-Cash function
Complete ad-hoc analyses and special projects as requested
Financial Planning & Analysis (20%)
Support the annual budgeting, monthly forecasting, and close processes
Improve monthly OPEX and headcount reporting for the Order-to-Cash organization
Assist with ongoing FP&A initiatives and cross-functional projects
Qualifications
8+ years of finance experience, including 3+ years in FP&A, Revenue Cycle, reimbursement, or cost analysis within a healthcare environment
Bachelor's degree in Finance, Accounting, or related field; MBA and/or CPA preferred
Advanced proficiency in Microsoft Excel and Power BI
required
Strong experience manipulating large data sets across multiple systems
Exceptional analytical, financial modeling, and problem-solving skills
Ability to partner effectively with senior leadership and communicate complex financial concepts clearly
Strong organizational skills with the ability to manage multiple priorities and deadlines
Experience with Brightree is a plus
Why This Role
High-impact, highly visible role supporting core revenue performance
Opportunity to influence decision-making and drive measurable financial improvements
Hybrid schedule with consistent in-office collaboration
Competitive compensation and exposure to senior leadership
Finance Manager
Finance leader job in Miami, FL
The Finance Manager is a key business partner responsible for driving financial performance, governance, and strategic insight across Hublot North America (United States & Canada - two legal entities).
Reporting to the VP Finance, this role works closely with the Hublot President, ComEx, and cross-functional leaders to support commercial decision-making, ensure financial discipline, and strengthen forecasting, reporting, and internal controls. The role includes direct management of two team member.
ESSENTIAL JOB FUNCTIONS
Financial Leadership & Business Partnering
Act as a strategic finance partner to senior leadership, supporting commercial and operational decision-making
Provide clear financial insights on sales performance, profitability, cost structure, and key business drivers
Translate financial data into actionable recommendations for management and departments
Financial Reporting & Performance Management
Own the monthly financial close and reporting cycle, including P&L, balance sheet, cash, and CAPEX
Ensure accuracy, consistency, and compliance of financial statements in close coordination with Accounting
Lead monthly performance reviews, including variance analysis versus budget and forecast
Design, monitor, and report on key KPIs (e.g. sales turnover, DSO, inventory, freight costs)
Budgeting, Forecasting & Planning
Lead the preparation and consolidation of annual budgets and quarterly forecasts (four cycles per year)
Support medium-term financial planning and scenario analysis aligned with business priorities
Ensure timely delivery of all financial deadlines and corporate reporting requirements
Internal Control, Compliance & Governance
Support internal control frameworks and audits, including ERICA process and expense management controls (Concur)
Ensure compliance with internal policies and procedures across all departments
Act as finance lead for Retail operations, including coordination with Adyen, access rights management, and audit support
Systems, Processes & Efficiency
Drive continuous improvement of financial processes, reporting tools, and closing timelines
Partner with Finance and IT teams to enhance data quality, automation, and system efficiency
Contribute to the evolution of reporting and planning tools (SAP, Power BI, etc.)
CAPEX Management
Prepare and submit CAPEX requests in line with Group governance
Track CAPEX execution, approvals, and post-investment follow-up
People Management
Manage and develop one direct report, including objective setting, performance evaluation, and professional development
Ad-hoc Analysis
Deliver ad-hoc financial analyses and presentations for senior management and HQ as required
PROFILE & EXPERIENCE
Bachelor's degree in Finance, Accounting, or equivalent
6+ years of experience in finance, controlling, FP&A, or audit within an international environment
Strong knowledge of financial planning, controlling, and reporting standards
Proven experience working with ERP and BI tools (SAP, Power BI, or similar)
Advanced proficiency in Excel
Experience in retail and/or wholesale environments strongly preferred
Strong analytical skills with the ability to synthesize complex information
Excellent communication and stakeholder management skills
Ability to operate autonomously in a fast-paced, evolving organization
High level of integrity, rigor, and attention to detail
Motivation to grow within Hublot and the LVMH Group
Senior Financial Analyst - Healthcare
Finance leader job in Sarasota, FL
The ideal candidate will be responsible for managing multiple financial analysis projects at the same time. At month end, you will be responsible for budget, projection, and actual variance commentary.
Responsibilities
Prepare the company's expense plans and monthly forecasts
Accurately update systems to actual results, forecasts, and budgets
Analyze and provide commentary on variances
Communicate with vendors and ensure on-time processing of vendor allowances
Ensure compliance with internal and external accounting standards and financial policies
Qualifications
Bachelor's degree or equivalent in Finance or Accounting
2-5+ years' of relevant experience
Proficient in Microsoft Excel
Strong quantitative financial skills
Financial Analyst
Finance leader job in Hollywood, FL
Financial Analyst - MUST BE LOCAL
Insightful Talent is supporting a client who is looking for a Financial Analyst to join their team! In this role you will analyze financial status by collecting, monitoring, and studying data and recommending actions. Primary areas of focus are budgeting, forecasting and treasury analysis with an emphasis on accurate, timely deliverables, utilization of systems for automation and being able to solve problems and identify issues to escalate to management.
What's in it for you:
Work for a PE backed full-service practice management company partnering with providers who specialize in dermatology and aesthetic medicine.
Be a part of a high performing team with opportunities for growth.
Competitive compensation package - base comp, benefits and 401K plan.
Hybrid schedule - 3 days onsite.
What you'll be doing:
Assist in preparing the annual budget and monthly rolling forecast for the company at the division and practice level.
Assist in preparing daily, weekly, monthly treasury and cash analysis reports for all bank accounts.
Assist in mergers and acquisitions diligence and analysis.
Takes initiative to improve and automate processes (reduce cycle time) in conjunction with the data warehouse team.
Interface independently with other internal departments to coordinate timing and accuracy of recurring data requirements.
Assist in monthly revenue recognition and AR reconciliation.
Identifies financial status by comparing and analyzing actual results with plans and forecasts.
Improve financial status by analyzing results; monitoring variances; identifying trends; recommending actions to management.
Reconcile transactions by comparing and correcting data.
Recommends actions by analyzing and interpreting data and making comparative analyses, studying proposed changes in methods and materials.
Protect operations by keeping financial information confidential.
Contributes to team effort by accomplishing related results as needed.
What you need to bring:
Bachelor's degree in business or analytical field.
Must have experience with CPT driven revenue analysis.
A minimum of 1-3 years of prior analyst experience.
Ability to think analytically and to provide in-depth analysis and recommendations using critical thinking and sound judgment.
Advanced Excel skills are required and will be tested by Power Users. Candidates should be extremely specific about these skills.
Experience with Microsoft NAV, Business Central, Jet, SQL or other database tools is preferred.
Demonstrated ability to communicate in a clear and concise manner both verbally and in writing.
“Self-starter” who works with enthusiasm to manage responsibilities with a sense of urgency.
Insightful Talent LLC is an equal opportunity employer and prohibits discrimination and harassment of any kind. We provide equal employment opportunities to all employees and applicants without regard to race, color, religion, sex (including pregnancy, gender identity, and sexual orientation), national origin, age, disability, genetic information, veteran status, or any other characteristic protected by applicable laws.
Finance Manager
Finance leader job in Tampa, FL
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.
Director of Financial Planning and Analysis (FP&A)
Finance leader job in Woodstock, GA
The Director of Financial Planning and Analysis (FP&A) is a senior-level finance professional who leads an organization's financial planning, budgeting, forecasting, and analysis activities. The ideal candidate will ensure financial plans align with business objectives, provide strategic financial insights, and manage the company's overall financial performance. This role often involves close collaboration with senior executives and a significant impact on company-wide decision-making.
Key Responsibilities:
Lead Financial Planning Processes: Oversee the annual budgeting process, monthly and quarterly forecasting, and long-range financial planning.
Develop and Maintain Financial Models: Create and refine complex financial models to support strategic decision-making and assess business performance.
Analyze Financial Data: Identify trends, risks, and opportunities for growth by analyzing financial data and performance metrics.
Provide Strategic Insights: Translate complex financial data into actionable business insights and recommendations for senior management.
Collaborate Cross-Functionally: Partner with other departments to align financial plans with overall business objectives and ensure financial performance meets strategic goals.
Manage Reporting and Analysis: Oversee the preparation of financial reports, variance analysis, and management reporting to track performance against plans and identify areas for improvement.
Drive Process Improvement: Enhance financial processes, systems, and reporting capabilities to improve efficiency and accuracy.
Evaluate Investments and Growth Initiatives: Assess potential investments, mergers, and acquisitions to support business growth and strategic objectives.
Skills and Qualifications:
Strong Financial Acumen: Deep understanding of financial planning, budgeting, forecasting, and analysis.
Strategic Thinking: Ability to develop and implement financial strategies that align with overall business objectives.
Analytical and Problem-Solving Skills: Ability to analyze complex financial data, identify trends, and develop solutions.
Communication and Presentation Skills: Ability to effectively communicate financial information to both financial and non-financial audiences.
Leadership and Management Skills: Ability to lead and motivate a team, manage projects, and drive process improvement.
Technical Proficiency: Proficiency in financial modeling, data analysis tools, and financial reporting systems.
Experience: Requires 10+ years of experience in finance or accounting, with significant experience in a management role.
Controller
Finance leader job in Marietta, GA
Controller - Fast-Growing General Contractor
We're a smaller but rapidly growing general contractor looking for someone who's ready to take full ownership of our finance function. This is our first dedicated finance hire, so we need someone confident, hands-on, and familiar with the realities of construction accounting.
What you'll own:
Day-to-day accounting, job costing, and project financial reporting
Month-end close, cash flow management, and forecasting
AP/AR oversight and subcontractor payments
Partnering with leadership on budgets, margin tracking, and growth planning
Implementing/improving systems, processes, and controls as we scale
Managing relationships with external partners including banks, bonding agents, CPA firms, insurance brokers, and key vendors/subcontractors
Building strong internal relationships with project managers and field leadership to ensure accurate, timely financial information
What we're looking for:
Minimum 4 years of experience in construction finance/accounting
Strong understanding of WIP, job cost, and project-based financials
Someone who can operate independently, build structure, and clean up where needed
Comfortable in a fast-moving environment where priorities shift and you have to roll up your sleeves
A practical problem-solver who can work closely with field and operations teams
Why this role matters:
You'll be the #1 finance person in the company - the one setting the foundation for how we run numbers, manage cash, and make financial decisions as we continue to grow.
If you're looking for a role with autonomy, impact, and the chance to shape a company's financial future from the ground up, we'd love to talk. Please apply below.
Controller
Finance leader job in DeLand, FL
Join Doug Egner Plumbing & Medical Gas and be part of a team that values innovation, collaboration, and exceeding client expectations. We're hiring driven individuals who want to grow with a company that values its employees. Enjoy excellent pay, Health, eye, and dental benefits, and endless opportunities for advancement. Apply now and let's build a brighter tomorrow together!
We are seeking a highly skilled and detail-oriented Controller to oversee our accounting operations and ensure the accuracy and integrity of financial reporting. This role is responsible for managing the accounting team, implementing financial controls, and supporting leadership with timely financial analysis to guide strategic decisions.
Job Responsibilities
Coding of bank transactions
Reconciliation of bank accounts
Preparation of financial statements
Working with a small team
Lien Wavers
Accurate time and record keeping
Payroll
Qualifications
A minimum of 5 years of experience is required
We use QuickBooks Online, so experience in this software is mandatory for this position.
Proficient with technology
Proficient with Microsoft Office
Extremely organized, attention to detail
Excellent with technology
Eager to help and to learn, desire to advance within the organization
Responsible and reliable
Task-oriented
Trustworthy
**What We Offer
✅ Health benefits (Medical, Dental, Vision) on the 1st of the month following your date of hire
✅ Tradition 401(k) and Roth plans available beginning day one
✅ Paid PTO and Holidays from day one
✅ Advanced company training
✅ Growth Opportunities
**Why Join Us?
At Doug Egner Plumbing & Medical Gas, we value our people and are passionate about making a difference. If you're ready to take on a leadership role in a dynamic and growing company, apply today and be part of our success story!
**NOTE: The way you complete this application is important to us because it will indicate how well you follow instructions and comply with regulations. Accordingly, be careful to supply the exact information requested. Please note applications will be active for only 30 days. Only applications on our form, individually submitted, will be accepted.
Financial Analyst (Real Estate)
Finance leader job in Miami, FL
We are seeking a skilled Financial Analyst with a strong background in real estate to support our dynamic real estate investment and drive strategic financial decision-making. This role will focus on financial modeling, investment analysis, and portfolio performance reporting for real estate assets. The ideal candidate will have a data-driven mindset, exceptional analytical skills, and experience in real estate financial analysis to contribute to the growth and profitability of our real estate portfolio.
Key Responsibilities:
Develop and maintain complex financial models to evaluate real estate investment opportunities, including acquisitions, developments, and dispositions.
Analyze property performance, cash flows, and market trends to provide actionable insights and recommendations to senior management.
Prepare detailed investment memoranda, budgets, and forecasts for real estate projects, ensuring alignment with strategic objectives.
Conduct due diligence on potential real estate investments, including market research, lease analysis, and risk assessments.
Monitor portfolio performance, track key metrics (e.g., NOI, cap rates, IRR), and prepare quarterly and annual reports for stakeholders.
Collaborate with asset management, development, and finance teams to optimize property-level financial strategies and operational efficiency.
Support capital market activities, including debt and equity financing, by preparing lender presentations and analyzing financing structures.
Ensure compliance with financial reporting standards and real estate regulations, maintaining accurate documentation for audits.
Perform ad-hoc financial analysis and research to support strategic initiatives and special projects.
Required Skills and Experience:
Bachelor's degree in Finance, Real Estate, Accounting, or related field.
Minimum of 3 years of financial analysis experience with a focus on real estate investments or development.
Advanced proficiency in financial modeling and Excel; experience with Argus Enterprise or similar real estate software is a plus.
Strong understanding of real estate metrics (e.g., NOI, cap rates, IRR, NPV) and market dynamics.
Proven ability to analyze complex financial data and present clear, actionable insights to stakeholders.