Finance manager jobs in New Braunfels, TX - 946 jobs
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Finance Manager
The Bolton Group 4.7
Finance manager job in San Antonio, TX
The Bolton Group is partnering with a well-established and large homebuilder to look for a FinanceManager for their Edinburg, Texas location.
The FinanceManager 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 ************************
$100k-130k yearly 3d ago
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VP, Financial Consultant - Austin (Bee Cave), TX
Charles Schwab 4.8
Finance manager job in Austin, TX
Regular
Your opportunity
In addition to the salary range, this role is also eligible for bonus or incentive opportunities. Click the link below to review our Investment Professionals' incentive structure.
Investment Professionals' Compensation | Charles Schwab
At Schwab, you're empowered to make an impact on your career. Here, innovative thought meets creative problem solving, helping us "challenge the status quo" and transform the finance industry together.
Schwab's branch team is at the heart of our firm's commitment to helping clients own their financial futures. In this exciting role, you'll give clients financial guidance while forming lasting relationships built on trust, respect, and reaching a common goal. You'll also have the ability to take charge of your own professional journey with our supportive, nurturing culture and diverse set of career opportunities.
As a Financial Consultant at Schwab, you will be procured with the practice of existing Schwab clients, providing them with wealth management and financial planning advice. Over time, you'll grow your practice holistically through client asset consolidation, networking, and earning client referrals. If you currently have your securities license, enjoy working in a team setting, and share our passion for serving clients - this role is for you.
What you have
Required Qualifications:
A valid and active FINRA Series 7 license required
Obtaining or acquiring FINRA Series 66 (63/65) license and Life & Health Insurance as it will be required during your tenure on the job.
Preferred Qualifications:
Ability to build strong relationships, engage and encourage trust, and deepen the client relationship by applying a focused client communication strategy, and exceeding client expectations.
Strong candidates will also learn to leverage our team of Schwab specialists, Schwab advice guidelines, your knowledge of the markets, and your ability to inspire action to help your client's progress toward achieving their goals.
Openness to manage wealth on behalf of our clients including: Retirement Planning, Education Planning, Investment Management, Banking & Lending Management, Insurance & Risk Management, and Estate Planning
Ability to adapt and implement change as the market and business conditions evolve
Passion for community engagement to share and engage clients in discussion about market conditions, sound investing principles, and the ideal wealth and long-term investment strategies for their personal situation
Desire to provide an outstanding investor experience in additional to furthering your own professional development in Wealth Management.
What's in it for you
At Schwab, you're empowered to shape your future. We champion your growth through meaningful work, continuous learning, and a culture of trust and collaboration-so you can build the skills to make a lasting impact.
We offer a competitive benefits package that takes care of the whole you - both today and in the future:
401(k) with company match and Employee stock purchase plan
Paid time for vacation, volunteering, and 28-day sabbatical after every 5 years of service for eligible positions
Paid parental leave and family building benefits
Tuition reimbursement
Health, dental, and vision insurance
$90k-155k yearly est. 2d ago
Terminal Controller Trainee
Aloha Petroleum, Ltd.
Finance manager job in San Antonio, TX
This position is responsible for monitoring and supporting all load rack activities related to the Top. Tech terminal automation system .2-hour shifts and on call status is required, 24/7 ~ 365-day operation, rotating 12-hour shifts, including nights Controller, Terminal, Trainee, Operations, Transportation
$75k-112k yearly est. 1d ago
Financial Relationship Consultant
The Intersect Group 4.2
Finance manager job in Austin, TX
The Intersect Group is seeking a contract Senior Teller/Personal Banker to work for our direct client to help manage the day-to-day operations of their customer-centric bank branches in downtown Austin.
Senior Financial Relationship Consultant
Duration: 6-month contract to hire
Interview Process: 2 rounds of virtual interviews
Location: Austin 78701 (near W Cesar Chavez and Brazos Street)
Qualifications
5+ years of Banking / Customer Service / Sales -oriented experience, with a minimum of 2 years banking center experience required, including bank teller, customer service, relationship management and cash handling
Series 65 License or willingness to study / take exam once a full-time employee
Knowledge of banking products and services including deposits, lending and other financial services
Ability to multitask and solve problems in a fast-paced environment to accomplish many tasks efficiently and timely
Professional experience anticipating common customer concerns and analyzing current procedures and processes for available improvements
Proficient knowledge of Salesforce preferred
Bilingual in Spanish is a plus
Proficient knowledge of PC/Internet (Microsoft Office, including Excel, Word)
Excellent communication skills, both verbal and written, with the ability to speak concisely
Must be team-oriented
Ability to be influential and establish positive working relationships across the organization with various stakeholders
Knowledge of legal entity documentation preferred
Strong attention to detail and accuracy
Strong phone communication skills
Responsibilities:
Establish, retain and deepen customer relationships by executing relationship management strategies and performing efficient and accurate banking transactions
Uncover the needs of new and existing customers and refer them to the relevant solutions, services, and experts available within the bank
Proactive customer outreach that is aligned to our high-touch / engagement model
Proactive phone calls to both existing and prospect customers
Develop a strong understanding of the consumer and small business solutions and service offerings to best answer questions from prospects
Handle all banking transaction, teller activity and client requests with exceptional customer experience. Teller activity includes but not limited to: deposits, withdrawals, wire transfers, etc.
Open accounts for new walk-in; coordinate legal account documentation to ensure compliance with all relevant banking regulations
Assist in community awareness events to increase bank outreach and foster new business opportunities
Assist management with various operational duties and responsibilities
Abide by company policies, procedures, and regulatory compliance guidelines
$77k-111k yearly est. 13h ago
Director of Financial Accounting (Head of Finance)
Trueloyal
Finance manager job in San Antonio, TX
TrueLoyal is a SaaS loyalty and engagement platform for consumer brands with scale.
We help brands design and run loyalty programs that drive repeat purchase and retention without complexity. Our API-first architecture and ecommerce integrations make it easy to connect data, reward actions, and measure results in real time.
Our philosophy is simple:
Make loyalty simple.
Bring it to everyone.
Build the market leader.
We move fast, we value transparency, and we expect every team member to take ownership.
The Role
The Director of Finance is the company's senior hands-on finance leader and reports directly to the CEO. You will have strong financial accounting/controller experience, enjoy being very hands-on, and have good business sense.
You will:
Own the monthly financial reporting and close process
Own the AP/AR process
Own all financial models
Lead a team of one (and expand the team as the business grows)
Be the financial backbone that supports our growth
This role is ideal for someone with a strong accounting or PE/higher-pressure finance background who wants to step into ownership and run finance for a scaling SaaS company. You don't need to be a strategic CFO - you need to be operationally excellent, disciplined, and fast.
Requirements
7+ years of experience in senior accounting or controllership positons
CPA, or a strong accounting foundation, is essential.
Experience in Software, ideally SaaS or ecommerce finance
You can own the monthly close process and financial models without hand-holding.
Comfortable implementing tools and automation.
High urgency, disciplined execution, and extreme attention to detail.
Clear communicator who thrives in a culture of transparency and accountability.
Hands-on operator first, strategic partner second - willing to dig in and do the work.
Ambitious and ready to grow into broader leadership as the company scales.
Due to an increase in AI applications, we require a brief cover letter from serious applicants with the right skill set. Please share why this opportunity is interesting, why it might be a great next career step, and the results you are proud of delivering in recent roles.
Key Metrics for Success
Accuracy and timeliness of financial closes
Forecasting reliability (variance control)
Operational efficiency and automation improvements
Financial visibility and reporting clarity to CEO and leadership
Cash flow control and runway extensions
Team development and leadership effectiveness
Benefits
Competitive compensation
Full benefits package, including healthcare with $0 deductible and $0 co-pay
In-person collaboration at our San Antonio HQ
Direct influence and visibility at the executive level
Opportunity to grow into a VP Finance or future CFO track
Culture built on urgency, transparency, ownership, and execution
$110k-171k yearly est. 11d ago
Financial Controller ( Based in Austin, TX)
Talent Recruit
Finance manager job in Austin, TX
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 ***************************
$170k yearly Easy Apply 60d+ ago
Treasury Manager
Deacon Recruiting
Finance manager 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
Banking start to career
For a Confidential Conversation and/or Personal Meeting regarding this outstanding career opportunity please contact:
Dana Laramore, CPC | 210.807.5615 | dlaramore@deaconrecruiting.com
$150k yearly 15d ago
Treasury Manager
Sailpoint 4.7
Finance manager job in Austin, TX
SailPoint is seeking a self-motivated Treasury Manager with an entrepreneurial spirit to thrive in a fast-paced, evolving environment. This individual will have the opportunity to own treasury responsibilities and build best practices for reporting, liquidity, risk, and investment management. This role will report to the Global Head of Tax and work closely with senior leaders across finance, accounting, and tax.
Essential Duties
Reporting and Analysis
• Prepare regular reports with KPIs, including cash summaries, liquidity metrics, risk & investment performance, banking fees, risk exposures
• Develop and maintain free cash flow models to forecast future cash flows, incorporating detailed scenario analyses and sensitivity testing for senior leadership
• Employ strategies to identify, analyze, and mitigate FX exposure across global operations, implement hedging strategies (if applicable)
• Collaborate with FP&A, accounting and other internal stakeholders to ensure efficient and accurate cash flow management
Cash and Liquidity Management
• Manage daily cash activities including cash reconciliation and bank reconciliations
• Manage surplus cash and short-term investment portfolios to maximize returns while maintaining liquidity
• Execute transfer of funds between domestic and international bank accounts, including intercompany settlements, as required
Banking and Financial Relationships
• Manage worldwide banking and financial institution relationships
• Ensure streamlined compliance process with KYC and AML requirements
• Perform bank account administrative tasks, including opening, closures, signatory updates
• Oversee debt and credit facility management: monitor covenant compliance, support drawdown/repayment, liaise with lenders and rating agencies as required
Technology and Process Optimization
• Scope, implement, and optimize treasury management system tools
• Collaborate with IT to implement automation tools and enhance system integrations.
• Continuously identify and implement process improvements to increase efficiency and accuracy.
Compliance and Ad-hoc responsibilities
• Develop and maintain treasury policies, internal controls and documentation in compliance with SOX, internal audit, regulatory and external reporting requirements
• Serve as contact for risk management and own corporate insurance renewals and address insurance inquiries
• Support management with various projects as needed
Required Qualifications
• Bachelor's or Master's Degree
• 8+ years of progressive treasury, corporate finance or banking experience, ideally within a large, multinational or publicly-traded company; significant exposure to global operations
• Experience building and managing treasury teams
• Solid understanding of FX, interest-rate risk management, and hedging techniques (or exposure to those)
• Strong knowledge of cash management, liquidity forecasting, banking operations, and treasury systems.
Preferred Qualifications
• Certified Treasury Professional
• Experience implementing and utilizing Treasury Management Systems
• Experience in fast-paced growth companies
Benefits and Compensation listed vary based on the location of your employment and the nature of your employment with SailPoint.
As a part of the total compensation package, this role may be eligible for the SailPoint Corporate Bonus Plan or a role-specific commission, along with potential eligibility for equity participation. SailPoint maintains broad salary ranges for its roles to account for variations in knowledge, skills, experience, market conditions and locations, as well as reflect SailPoint's differing products, industries, and lines of business. Candidates are typically placed into the range based on the preceding factors as well as internal peer equity. We estimate the base salary, for US-based employees, will be in this range from (min-mid-max, USD):
$101,400 - $144,800 - $188,200
Base salaries for employees based in other locations are competitive for the employee's home location.
Benefits Overview
1. Health and wellness coverage: Medical, dental, and vision insurance
2. Disability coverage: Short-term and long-term disability
3. Life protection: Life insurance and Accidental Death & Dismemberment (AD&D)
4. Additional life coverage options: Supplemental life insurance for employees, spouses, and children
5. Flexible spending accounts for health care, and dependent care; limited purpose flexible spending account
6. Financial security: 401(k) Savings and Investment Plan with company matching
7. Time off benefits: Flexible vacation policy
8. Holidays: 8 paid holidays annually
9. Sick leave
10. Parental support: Paid parental leave
11. Employee Assistance Program (EAP) and Care Counselors
12. Voluntary benefits: Legal Assistance, Critical Illness, Accident, Hospital Indemnity and Pet Insurance options
13. Health Savings Account (HSA) with employer contribution
SailPoint is an equal opportunity employer and we welcome all qualified candidates to apply to join our team. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, disability, protected veteran status, or any other category protected by applicable law.
Alternative methods of applying for employment are available to individuals unable to submit an application through this site because of a disability. Contact applicationassistance@sailpoint.com or mail to 11120 Four Points Dr, Suite 100, Austin, TX 78726, to discuss reasonable accommodations. NOTE: Any unsolicited resumes sent by candidates or agencies to this email will not be considered for current openings at SailPoint.
$101.4k-144.8k yearly Auto-Apply 41d ago
Manager, Treasury
Howard Energy Partners
Finance manager 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 ********************.
$82k-121k yearly est. 60d+ ago
Temp Sr.Controller- Financial Reporting
MGR 4.0
Finance manager job in San Antonio, TX
Job DescriptionContract Temp Sr. Controller - Financial ReportingImmediate Need!
We are seeking a highly skilled and experienced Contract Temp Sr. Controller specializing in Financial Reporting. This temporary position is ideal for a seasoned professional with a strong background in manufacturing and financial reporting. The successful candidate will play a crucial role in assisting in providing financial reporting, ensuring accuracy, compliance, and timely delivery of financial information to stakeholders.
Key Responsibilities
Manage the financial reporting function, ensuring compliance with GAAP, IFRS, and other relevant accounting standards
Assist with the preparation and timely submission of monthly, quarterly, and annual financial statements
Coordinate with internal and external auditors to facilitate smooth audit processes
Analyze financial data and provide insights to support strategic decision-making
Manage the month-end and year-end close processes, ensuring accuracy and efficiency
Prepare and review complex journal entries, account reconciliations, and financial analyses
Collaborate with cross-functional teams to improve financial reporting systems and processes
Monitor and report on key performance indicators (KPIs) relevant to the manufacturing industry
Ensure compliance with regulatory requirements and company policies
Participate in special projects and initiatives as needed
QualificationsRequired:
Bachelor's degree in Accounting, Finance, or related field
Minimum of 8 years of experience in financial reporting, with at least 5 years in a senior role
Strong knowledge of GAAP, IFRS, and SEC reporting requirements
Extensive experience in the manufacturing industry
Proficiency in ERP systems and financial reporting tools
Advanced Excel skills and experience with financial modeling
Excellent analytical and problem-solving skills
Strong attention to detail and ability to meet deadlines
Job Details
Position Type: Contract Temporary
Duration: 3 months (with possibility of extension)
Location: San Antonio, TX
$70k-104k yearly est. 5d ago
Financial Controller
Maldonado Nursery and Landscaping
Finance manager job in San Antonio, TX
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 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.
$100k-115k yearly 1d ago
Treasury Manager
Saronic
Finance manager job in Austin, TX
Saronic Technologies is a leader in revolutionizing autonomy at sea, dedicated to developing state-of-the-art solutions that enhance maritime operations 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 Holidays
Parental 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.
$82k-122k yearly est. 55d ago
Financial Controller
Power3 Solutions and Partnering Companies
Finance manager job in San Antonio, TX
We are 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.
Power3 Solutions
Partnering with federal, state, and local organizations to bring the best talent to the right roles.
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$71k-110k yearly est. Easy Apply 48d ago
Financial Controller
Caisson Real Estate Brokerage
Finance manager job in San Antonio, TX
Job DescriptionBenefits:
Dental insurance
Health insurance
Paid time off
Vision insurance
Caisson Real Estate is a boutique commercial real estate firm located in San Antonio and Houston, TX. We specialize in tenant representation and commercial investment properties in retail, office, and industrial assets. Our team of seasoned professionals have closed thousands of transactions for clients including national retailers, restaurants groups, federal and local government, prominent law firms, oil/gas companies, as well as specialized medical practices.
Our company is seeking passionate team members to help us grow our company and tenant advisory team as well as develop into leaders of our organization. Were excited for our companys bright future and look forward to finding team mates to grow with us!
**Overview**
We are seeking a highly experienced and detail-oriented Controller to join our finance team. The Controller is responsible for managing the financial operations of the organization, ensuring compliance with regulatory requirements, and providing financial insights to support business decisions.
**Duties**
The ideal candidate will be responsible for overseeing all aspects of financialmanagement, including double entry bookkeeping, accounts receivable, accounts payable, and financial analysis. They will be proficient in using accounting software such Appfolio and QuickBooks.
Key responsibilities include:
Preparing and reviewing financial statements, including balance sheets, income statements, and cash flow statements
Developing and implementing accounting policies and procedures
Maintaining accurate and up-to-date financial records, including accounts payable and accounts receivable
Conducting financial analysis and providing recommendations to management
Ensuring compliance with regulatory reporting requirements
Managing and analyzing financial data to identify trends and areas for improvement
Collaborating with other departments to ensure effective financial planning and management
Developing and managing budgets and forecasts
Providing financial support and guidance to other departments
**Experience**
The ideal candidate will have significant experience in a controller role, preferably in commercial real estate or similar industry. They will have a strong understanding of financial principles and practices, and be familiar with accounting software and financial software.
The candidate should have a degree in accounting or a related field, and be certified as a Certified Public Accountant (CPA) or Certified Management Accountant (CMA). They will have excellent analytical and problem-solving skills, as well as strong communication and leadership abilities.
**Skills**
- Budgeting Whiz
- Bank reporting
- Accounts receivable
- Accounts payable
- Financial analysis
- Accounting software includes: QuickBooks, Appfolio, Argus
$71k-110k yearly est. 23d ago
Financial Controller
Vvater
Finance manager job in Austin, TX
VVater is a US-based, next-generation water treatment company that aims to provide Water for Humankind with a cornerstone of sustainability and a promise of a better, healthier tomorrow-servicing various industries and markets around the world from Real Estate, Wastewater Treatment, Municipal Potable Water, and multiple others, in particular, focusing on the recovering and recycling of different waters in a centralized or decentralized way. The company also does artificial beaches, urban lagoons, wave pools, surf parks, aquatics, sewage treatment, wastewater, and drinking water.
VVater is seeking a highly skilled and detail-oriented Financial Controller to manage and oversee all aspects of financialmanagement, including corporate accounting, regulatory and financial reporting, budget and forecast preparation, and the development of internal control policies and procedures. The ideal candidate will possess extensive knowledge in finance, accounting, and business operations and be proven able to lead the finance team and ensure the company's financial health and compliance with industry regulations.
Key Responsibilities:
Experience in ASC 853 | ASC 842 | ASC 606 and other similar FASB Codes.
Audit experience at a CPA firm is preferred
Develop sophisticated financial models and forecasts
Develop visual Dashboards and reports.
Previous experience in the SEC reporting/flings process required (public or in-house) preferred
Oversee all financial accounting operations, including accounts receivable, accounts payable, general ledger, payroll, and financial reporting.
Prepare and present timely and accurate financial statements and reports, ensuring compliance with regulatory requirements and industry standards (GAAP or IFRS).
Lead the budgeting and forecasting process, collaborating with department heads to create comprehensive and achievable financial plans.
Analyze financial data and provide insights and recommendations to senior management on financial performance, risks, and opportunities.
Develop and implement robust internal control policies and procedures to safeguard company assets and ensure the integrity of financial information.
Ensure timely and accurate monthly, quarterly, and year-end close processes, coordinating with auditors for annual audits.
Manage cash flow, including monitoring banking activities, optimizing liquidity, and preparing cash flow forecasts.
Oversee tax planning and compliance with federal, state, and local regulations, coordinating with external tax advisors as necessary.
Drive process improvements and automation initiatives to enhance financial reporting efficiency and accuracy.
Maintain up-to-date knowledge of relevant accounting standards and regulations, ensuring the company remains in full compliance with financial reporting obligations.
Manage the finance team, providing leadership, training, and mentoring to foster a high-performing, collaborative environment.
Support the CFO or executive leadership in strategic decision-making by providing financial modeling, analysis, and scenario planning.
Liaise with external auditors, regulatory bodies, and other stakeholders to ensure clear communication and compliance with financial obligations.
Qualifications:
Bachelor's degree in Accounting, Finance, Business Administration, or a related field. A CPA (Certified Public Accountant) or CMA (Certified Management Accountant) designation is highly preferred.
Proven experience 5+ years as a Financial Controller or similar role, with a strong understanding of financialmanagement, reporting, and regulatory compliance.
Thorough knowledge of accounting principles, standards (GAAP/IFRS), regulations, and financial reporting.
Strong financial software and systems proficiency, including ERP systems (e.g., Xero, SAP, Oracle, NetSuite) and advanced Excel skills.
Exceptional analytical skills, with the ability to interpret financial data and provide actionable insights.
Excellent leadership and team management skills, with a track record of building and leading high-performing finance teams.
Strong organizational skills and attention to detail, with the ability to manage multiple priorities and deadlines.
Excellent communication and interpersonal skills, with the ability to collaborate effectively across departments and with senior management.
High integrity and ethical standards, with a commitment to maintaining confidentiality and professionalism.
**As a part of our process to ensure a comprehensive evaluation of all applicants, assessment tests are required as part of our recruitment process. Unfortunately, should you elect not to participate in completing the assessment tests, your application will not be able to progress to the next stage or taken into consideration during evaluation.
$72k-111k yearly est. Auto-Apply 60d+ ago
Senior Financial Controller
Avride
Finance manager job in Austin, TX
About the Team
Avride is a rapidly developing company in the autonomous vehicle and delivery robot industry. We develop autonomous vehicle technology from scratch, leveraging the strong technical background of our core team and over seven years of experience in autonomous vehicle development. Our Finance team collaborates closely with cross-functional partners to drive financial excellence and supports critical business decisions across global operations. Join us and contribute to a high-impact team where your expertise will help shape Avride's financial future.
About the Role
We are seeking a highly experienced and strategic Senior Financial Controller to lead our financial compliance, reporting, and audit activities across the United States and multiple international entities. This is a high-impact role that will work closely with the CFO and senior leadership team to ensure financial integrity, regulatory compliance, and strong internal controls across jurisdictions.
The successful candidate will serve as a key point of contact for both local and consolidated audits, oversee financial controllers in other regions, and coordinate with external consultants and advisors globally. This role requires a hands-on leader with deep technical expertise, excellent communication skills, and a proven track record in managing complex, multi-entity environments.
What You'll Do
United States:
Take full ownership of local statutory financial reporting in the US, ensuring compliance with US GAAP and regulatory deadlines.
Oversee US tax compliance, coordinating with tax advisors and ensuring timely filings and regulatory adherence.
Lead the external audit process for US entities, including planning, documentation, and direct communication with auditors.
International Oversight:
Provide strategic and operational oversight of financial controllers and accounting teams in other jurisdictions, ensuring consistency and compliance with local regulations.
Partner with external consultants, service providers, and advisors across multiple countries to resolve regulatory, tax, and accounting issues.
Act as the lead liaison for the consolidated group audit, ensuring timely delivery of financial data and alignment across all entities..
Internal Controls & Compliance:
Maintain and strengthen internal control processes and accounting policies across all entities.
Ensure timely and accurate intercompany reconciliations and assist in resolving cross-border accounting issues.
Monitor changes in relevant accounting standards and compliance requirements, and implement updates as needed.
What You'll Need
7+ years of experience in accounting or financial control, ideally within an international or multi-entity organization.
In-depth knowledge of US GAAP, audit processes, tax compliance, and internal controls.
Proven experience leading or coordinating group-level audits and managing cross-border finance functions
Strong leadership and mentoring skills; ability to lead and collaborate with remote, cross-functional teams.
Excellent communication skills, both written and verbal.
Proficiency in enterprise-level accounting systems (e.g., NetSuite, SAP, Oracle) and advanced Excel capabilities.
Nice to Have
Prior experience in a multinational environment with intercompany structures.
Familiarity with IFRS or local GAAP in other countries.
Experience implementing or optimizing accounting processes and internal controls.
Candidates are required to be authorized to work in the U.S. The employer is not offering relocation sponsorship, and remote work options are not available.
$72k-111k yearly est. Auto-Apply 13d ago
Financial Controller
Citadel Development Services LLC
Finance manager job in Austin, TX
Job DescriptionBenefits:
Bonus based on performance
Competitive salary
Dental insurance
Health insurance
Opportunity for advancement
Paid time off
Training & development
Vision insurance
Company Overview:
At Citadel, we are a rapidly growing, architecturally driven commercial construction company with an ambitious trajectory for continued growth. Our company thrives in a fast-paced, results driven culture that values excellence, accountability and collaboration. We possess the skills and expertise to tackle a wide range of commercial projects to support our clients from address to operation.
Job Overview:
The Controller is responsible for overseeing all company-level financial operations, ensuring accuracy, compliance, and financial integrity as the company scales. This role is a hands-on controller who owns the general ledger, accounting close, payroll, taxes, insurance, and financial controls, while providing leadership with reliable financial reporting and cash flow visibility.
This position is a hands-on, senior individual contributor role, with increasing leadership responsibility as the company grows.
Key Responsibilities:
Accounts Receivable & Billing
Own the general ledger and monthly, quarterly, and annual close processes.
Ensure accurate job cost accounting and financial reporting.
Maintain strong internal controls and accounting policies.
Oversee accounts payable, payroll, processing, and credit card activity.
Ensure timely and accurate financial statements.
Strong construction accounting expertise.
Cash Flow & Financial Reporting
Monitor and report on company cash position and cash flow.
Prepare regular financial reports for leadership, including P&L, balance sheet, and WIP schedules.
Partner with leadership to forecast cash needs and financial performance.
Ensure alignment between project-level financials and company-level reporting.
Tax, Compliance & Risk ManagementManage federal, state, and local tax filings in coordination with external CPAs.
Oversee payroll tax compliance and reporting.
Manage insurance policies, renewals, certificates, and audits.
Ensure compliance with regulatory, contractual, and lender requirements.
Systems & Process Leadership
Own and maintain accounting systems, including QuickBooks and related platforms.
Partner with the Project Finance & AR Manager to ensure clean systems integrations and data accuracy.
Identify and implement improvements to accounting workflows, reporting, and controls.
Support audits, reviews, and due diligence efforts as needed.
Leadership & Collaboration
Serve as a trusted financial partner to executive leadership.
Provide guidance and structure to accounting staff.
Collaborate cross-functionally with Operations, HR, and Project Management.
Prepare the finance function to scale toward future CFO-level leadership.
Managing job costing, WIP, cash flow, AP/AR, financial reporting, and audit//bonding supports.
Lead a small accounting team and vendors.
Qualifications
7+ years of accounting experience including construction or project-based environments.
Strong construction accounting expertise.
Knowledge of GAAP and job cost accounting.
Experience managing payroll, AP, taxes, and insurance.
Advanced QuickBooks experience (or similar ERP).
Strong analytical, organizational, and communications skills.
$72k-111k yearly est. 14d ago
Financial Controller
X Technologies 4.3
Finance manager 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.
$83k-112k yearly est. 47d ago
Accepting Resumes for Future Openings: Chula League Treasurer
Chula League
Finance manager 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.
$58k-110k yearly est. Auto-Apply 60d+ ago
Corporate Finance Analyst (2026 New College Graduate)
Global Foundries 4.7
Finance manager job in Austin, TX
About GlobalFoundries 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
How much does a finance manager earn in New Braunfels, TX?
The average finance manager in New Braunfels, TX earns between $59,000 and $120,000 annually. This compares to the national average finance manager range of $71,000 to $144,000.
Average finance manager salary in New Braunfels, TX
$84,000
What are the biggest employers of Finance Managers in New Braunfels, TX?
The biggest employers of Finance Managers in New Braunfels, TX are: