Browse jobs Find the right job type for you Explore how we help job seekers Finance and Accounting Technology Marketing and Creative Administrative and Customer Support Legal Preview candidates Contract talent Permanent talent Learn how we work with you Executive search Finance and Accounting Technology Marketing and Creative Administrative and Customer Support Legal Technology Risk, Audit and Compliance Finance and Accounting Digital, Marketing and Customer Experience Legal Operations Human Resources 2025 Salary Guide Demand for Skilled Talent Report Building Future-Forward Tech Teams Job Market Outlook Press Room Salary and hiring trends Adaptive working Competitive advantage Work/life balance Diversity and inclusion Browse jobs Find your next hire Our locations

83 results for Revenue Analyst in Parsippany, NJ

Sr. Financial Analyst <p>We are offering a contract to permanent employment opportunity for a Sr. Financial Analyst in Woodbridge, New Jersey. As a Sr. Financial Analyst, you will be instrumental in supporting finance functions including forecasting, analytics, and financial planning. </p><p><br></p><p>Responsibilities:</p><ol><li><strong>Strategic Financial Planning</strong>: Develop, implement, and oversee financial strategies, including forecasting, budgeting, and long-term financial planning to support business objectives. </li><li><strong>Financial Reporting and Compliance</strong>: Manage accurate and timely financial reporting while ensuring compliance with relevant regulations, tax laws, and corporate policies. Strong knowledge of ERP systems is typically required. </li><li><strong>Team Leadership and Development</strong>: Lead and mentor the finance team, ensuring effective performance management, training, and collaboration to foster a high-performing department. </li><li><strong>Risk Management</strong>: Identify and mitigate financial risks by evaluating business activities, reviewing internal controls, and ensuring the organization’s financial stability. </li></ol><p><strong>Data Analysis and Decision Support</strong>: Analyze financial data, develop KPIs, and provide actionable insights to senior management to guide decision-making and drive operational efficiency. </p> Retail Financial Analyst <p>We are in the process of recruiting a Financial Analyst to join a Global Retail Company in Passaic County, NJ. The selected candidate will work within the retail industry, focusing on a variety of tasks on the Finance Team. This role has some flexibility to work from home. Great benefits and room for growth! </p><p><br></p><p>Responsibilities:</p><p><br></p><p>• Analyze financial data and develop financial models for decision support</p><p>• Budgeting and Forecasting for Sales, OPEX, CAPEX, Wholesale</p><p>• Presentations to upper management on findings</p><p>• Monthly P& L analysis</p><p>• Ad hoc reporting</p><p>• Prepare business reviews</p><p>• Work closely with the accounting team</p><p>• Ensure all financial operations align with the latest auditing standards</p><p>• Contribute to budget processes and capital management initiatives</p><p>• Engage with business partners and department heads to understand their budgeting needs and utilization.</p> Senior Financial Analyst <p>A growing manufacturer in Ocean County is seeking a Senior Financial Analyst to join their team. The Sr. Financial Analyst will be responsible for preforming analysis, forecasting, budgeting, and overall support of the Finance team. The ideal Sr. Financial Analyst will have 3+ years of experience in a similar role, have a bachelor’s degree in either Accounting or Finance, CPA or MBA preferred.Must have excellent communication skills and the ability to work independently. The company is looking to start asap and offers an excellent benefits and compensation package. </p> Sr. Financial Analyst <p> The <em>Senior Analyst – Corporate Finance</em> will be at the center of our financial planning and analysis efforts, providing strategic insights across multiple business functions including HR, Sales, Marketing, and Supply Chain. This is a true generalist role where you’ll be challenged and rewarded as you strengthen your expertise across the business.</p><p><br></p><p>In this high-impact role, you’ll lead and execute financial analysis to support key business decisions. Your responsibilities will include:</p><p>·      Support management of financial planning, results reporting and decision support activities together with the implementation of systems, tools, controls and processes required to effectively govern budgets with an emphasis on marketing and SG& A.</p><p>·      Partner functionally to 1) facilitate clear understanding of P& L drivers for actual results and forecasted expectations, 2) identify risks and opportunities, 3) demonstrate active participation and 4) provide timely and accurate evaluation of business proposals.</p><p>·      Support the coordination and data population of budget and forecast submissions into Oracle EPM system.</p><p>·      Provide financial support including, but not limited to; variance and scenario analysis, model proforma P& Ls/ROI/ROAS in support of new product evaluation, pricing analysis, and other strategic/tactical initiatives.</p><p>·      Establish working knowledge of competitive and market factors that influence the companies brands and related segments, including category trends, key competitors, market shares, economic and retail dynamics.</p><p><br></p><p>We’re seeking a motivated professional who thrives in a lean, fast-paced environment and takes a proactive, hands-on approach to problem-solving. If any of the following describes you, we’d love to hear from you:</p><p>·      You’re a self-starter who can roll up your sleeves and take ownership of tasks.</p><p>·      You thrive in a collaborative but agile setting where multi-tasking and adaptability are key.</p><p>·      You enjoy breaking down complex problems into actionable solutions while contributing to diverse business functions.</p> Senior Financial Analyst <p>Robert Half is seeking a <strong>Senior Financial Analyst</strong> for an exciting <strong>contract-to-hire opportunity</strong> with a client in <strong>Eatontown, NJ</strong>. This <strong>hybrid role</strong> is ideal for a highly analytical professional experienced in financial reporting and systems analysis, preferably within the <strong>healthcare industry</strong>. As a key member of the finance team, you'll drive accurate data reporting, system utilization, and actionable insights across a complex health system.</p><p><br></p><p><strong>Key Responsibilities</strong></p><ul><li>Ensure <strong>data reliability</strong> and conduct detailed analyses to ensure monthly data consistency across the RWJBH Health System.</li><li>Analyze financial metrics to identify trends and actionable insights.</li><li>Prepare and distribute <strong>executive reporting packages</strong> for leadership decision-making.</li><li>Evaluate financial data to identify opportunities by site across the system and communicate findings to management.</li><li>Support the <strong>implementation and completion</strong> of external benchmarking engagements.</li><li>Leverage <strong>external benchmarks</strong> to recommend and drive system-wide savings opportunities.</li><li>Assist assigned sites with the budgeting process, including performing audits to ensure accuracy and consistency.</li><li>Provide support to sites for rolling forecast processes, including auditing workbooks, addressing questions, and reviewing finalized forecasts. Generate site-specific reports for forecast evaluations.</li></ul> Sr. Financial Analyst <p>Our manufacturing and consumer product company is in search of a Sr. Financial Analyst to become part of their established manufacturing team based in Rahway, New Jersey. This role involves a range of responsibilities including shaping financial strategies, pricing, providing key financial insights, and contributing to the overall profitability of the organization.</p><p> </p><p>Responsibilities:</p><p>• Utilize financial models to support decisions and strategic planning.</p><p>• Collaborate with various teams in a dynamic, fast-paced environment.</p><p>• Generate actionable recommendations based on financial insights and present them to stakeholders.</p><p>• Handle pricing analysis and cost analysis to maximize profitability.</p><p>• Leverage market research to inform and enhance pricing methodologies and strategies.</p><p>• Foster a culture of precision and accuracy in all financial reporting.</p><p>• Implement your strong quantitative and analytical skills in daily tasks.</p><p>• Utilize tools such as Excel, Power BI, and Tableau for financial modeling.</p><p>• Apply knowledge of competitive analysis and market research techniques to business strategies.</p><p>• Ensure all accounting functions and budget processes are carried out efficiently.</p> Financial Manager <p><em>A NY based client of mine is offering an exciting opportunity in the financial services industry in New York for a Senior Financial Analyst / Finance Manager to join a leading wealth advisory firm. This role will be instrumental in financial forecasting, modeling, and strategic analysis, supporting leadership in making data-driven decisions to drive profitability and efficiency.</em></p><p><br></p><p><strong><u>Key Responsibilities:</u></strong></p><p>&#128313; Develop dynamic, scalable financial forecasting models that integrate financial statements, assumptions, and key metrics.</p><p>&#128313; Prepare, analyze, and summarize financials and key performance indicators (KPIs) for the leadership team.</p><p>&#128313; Provide analytical decision support with a focus on revenue/cost initiatives and return on investment (ROI) analysis.</p><p>&#128313; Assist financial advisor teams with custom modeling, reporting, forecasting, and ad hoc analysis to improve profitability.</p><p>&#128313; Identify opportunities to enhance efficiencies in finance, accounting, and reporting processes.</p><p>&#128313; Lead the evaluation and implementation of financial reporting and automation software.</p><p>&#128313; Support the CFO with various ad hoc financial analysis requests.</p> Senior Financial Analyst <p>• Efficiently update and manage databases and reports to support monthly and quarterly financial reporting for insurance programs.</p><p>• Prepare and manage schedules and tables for premium, commission, and claims reviews in line with internal controls.</p><p>• Compile monthly files and executive reports, dashboards, variance analysis, and commentary.</p><p>• Identify and resolve data-related issues and assist in creating reports to monitor movements against submitted plans.</p><p>• Execute data preparation, analysis, and automation using various BI tools and technology.</p><p>• Collaborate with IT and other members of the Finance, Underwriting Operations, and Claims team to develop optimal reporting solutions.</p><p>• Utilize advanced skills in Microsoft Excel, Access, SQL, and PowerPoint.</p><p>• Use data mining and analytical skills to reconcile and resolve issues and make recommendations for improvement.</p><p>• Drive process improvement initiatives to completion with minimal direction and strong ownership.</p> Financial Data Analyst <p>We are offering a long-term contract employment opportunity for a Financial Data Analyst in the Financial Services industry. The selected candidate will be responsible for data analysis and reporting in a fast-paced workplace.</p><p><br></p><p>Responsibilities:</p><p><br></p><p>• Analyze financial data and report findings to the appropriate department.</p><p>• Utilize advanced knowledge of Microsoft Excel to manage and organize data.</p><p>• Dissect and analyze unstructured text segments and translate them into actionable insights.</p><p>• Utilize various financial software to aid in data analysis and reporting.</p><p>• Maintain effective communication with various departments to ensure accuracy and timeliness of data analysis.</p><p>• Develop and maintain a deep understanding of financial markets.</p><p>• Utilize data analysis skills to contribute to strategic decision-making processes.</p><p>• Collaborate with a team to ensure all financial data is accurate and up-to-date.</p><p>• Continuously seek ways to improve processes and workflows related to financial data analysis.</p><p>• Stay updated on industry trends and changes that may impact financial data analysis.</p> Financial Systems Analyst <p>Central Jersey Supply Chain and Logistics company seeks Financial Systems Administrator to join growing team. The Financial Systems Administrator will manage all aspects of system administration for Dynamics 365 F& O, including user creation, security roles, access control, and security best practices. Perform regular system monitoring and health checks, identifying and resolving performance issues. Implement system upgrades and updates. Manage backups, disaster recovery procedures, and data security protocols and work with finance and operations teams to understand business needs and configure F& O to optimize workflows and processes. The Financial Systems Administrator should have experience as a System Administrator using Dynamics 365 F& O. For immediate consideration please contact joseph.imbesi@roberthalf.</p> Financial Planning & Analysis Manager <p>We are in search of a Financial Planning & Analysis Manager to become a part of our team in the financial services sector, based in New York. The individual will play a pivotal role in conducting comprehensive financial analysis, maintaining rolling forecasts, spearheading the annual budgeting process, and supporting treasury operations among other responsibilities. This role is integral to ensuring the financial health and strategic planning of our operations.</p><p><br></p><p>Responsibilities:</p><p><br></p><p>• Take a leading role in the execution of comprehensive financial analysis, including variance, cost, and profitability analysis along with financial modeling.</p><p>• Establish and sustain rolling forecasts to ensure precise financial projections for both immediate and long-term planning.</p><p>• Actively participate in the annual budgeting process, ensuring collaboration and alignment with key stakeholders.</p><p>• Oversee department budgets, ensuring fiscal discipline and providing insights for cost management.</p><p>• Collaborate closely with the HR team to assess and evaluate compensation structures to ensure market competitiveness and internal equity.</p><p>• Actively contribute to the selection, coordination, and implementation of a new Enterprise Resource Planning (ERP) system.</p><p>• Support treasury operations, focusing on cash flow forecasting, liquidity planning, and financial risk management.</p><p>• Work in tandem with senior leadership to develop financial strategies, performance metrics, and reporting frameworks that drive decision-making across the firm.</p><p>• Prepare financial performance reports, variance analyses, and executive dashboards to provide actionable insights.</p><p>• Identify and implement process improvements to enhance financial reporting, planning, and operational efficiency.</p><p>• Undertake special projects and ad-hoc financial analyses to support executive leadership and business initiatives.</p><p>• Maintain strong relationships with internal stakeholders, ensuring clear communication and collaboration across teams.</p><p><br></p><p>Please send resumes directly to saravana.velayutham@roberthalf(.)com. If you're working with one of my colleagues in the tri-state area, please reach out to them and refer to job reference number 02940-0013176112</p><p><br></p> Accounting Manager <p>My client is a highly prestigious digital media company part of one of largest Media conglomerate companies globally. They are growing really well, several promotions on the tea. This position is net new due to growth/expansion.</p><p> </p><p>The Director of Accounting is looking for an exceptional Accounting Manager to add to their team. This will have direct exposure to senior and executive level leadership.</p><p> </p><p>As always, this is a permanent, full time, fully benefited salaried position (this is NOT a temp role or temp to perm).</p><p> </p><p>They are located in midtown NYC and are in the office 3 days a week.</p><p> </p><p>Compensation is between $120k - $145k base + bonus, based on experience</p><p> </p><p>The role will cover:</p><ul><li>Managing ASC-606</li><li>Heavy focus on managing multiple and complicated revenue streams (commissions, time and billing, project etc.)</li><li>Managing the month end close, producing financial statements</li><li>Hands on with in the general ledger and AP/AR</li><li>Will manage 1-2 staff</li></ul><p> </p><p>Who are you?</p><ul><li>Experience in the media/advertising space is a +</li><li>Strong revenue recognition / ASC 606 required</li><li>Previous management experience required</li><li>A minimum of a BA/BS in accounting from a top accredited school</li><li>B4/Public Accounting and/or a CPA are a +</li><li>5+ years of experience. </li></ul><p> </p><p>Exceptional communications skills are required. A great dynamic personality and the ability to work along your fellow colleagues is crucial. He or she must be able to effectively collaborate with individuals both inside and outside the company.</p><p> </p><p>If you would like to be considered for this position, please email your resume in a word document to Kevin.Chin@Roberthalf</p> Advisory Billing Manager <p>Billing Manager – Financial Services</p><p><br></p><p><strong>This role requires on-site presence in Madison, NJ three days per week, with no flexibility for remote work.</strong></p><p><br></p><p>We are partnering with a leading financial services firm seeking an experienced Billing Manager to join their team. This role is responsible for managing the end-to-end billing process, with a focus on calculating and processing investment account fees. The ideal candidate will have strong analytical skills, a deep understanding of financial services billing, and the ability to work cross-functionally with internal teams.</p><p><br></p><p>Key Responsibilities:</p><ul><li>Oversee and execute the calculation of investment account fees in accordance with client agreements.</li><li>Ensure accurate and timely invoicing for investment management services.</li><li>Reconcile billing data, identify discrepancies, and resolve issues proactively.</li><li>Collaborate with accounting, client services, and operations teams to streamline billing processes.</li><li>Maintain and enhance billing systems, ensuring compliance with financial regulations.</li><li>Generate financial reports and provide insights on revenue trends.</li><li>Assist in audits by providing necessary documentation and supporting analysis.</li></ul> Controller We are offering an exciting opportunity for a Controller in Westbury, New York, United States. This role is critical within our organization, leading the financial operations to ensure compliance with regulatory requirements and align with our strategic financial goals. With a significant focus on financial reporting and Securities and Exchange Commission (SEC) compliance, this position also involves managing accounting processes in complex corporate environments.<br><br>Responsibilities:<br><br>• Ensuring timely and accurate filings of SEC periodic reports (10-K, 10-Q, 8-K) in accordance with U.S. Generally Accepted Accounting Principles (GAAP) and SEC regulations<br>• Supervising the drafting of financial statements, disclosures, and narrative descriptions to meet SEC standards<br>• Keeping abreast of developments in SEC regulations and advising leadership on compliance needs<br>• Overseeing all accounting functions, including general ledger, accounts payable/receivable, payroll, and fixed asset management<br>• Managing accurate and timely month-end, quarter-end, and year-end closes<br>• Administering GL reconciliations and maintaining internal controls to ensure financial integrity<br>• Working closely with external auditors for a smooth and efficient external audit process<br>• Supporting internal audit processes and implementing recommendations for improved compliance and operational efficiency<br>• Designing, implementing, and enhancing internal control procedures to comply with Sarbanes-Oxley (SOX) requirements<br>• Assessing and mitigating risks associated with financial reporting and operations<br>• Leading and mentoring the accounting team, fostering a culture of precision and accountability<br>• Collaborating with departments such as Legal, Investor Relations, and Operations to support organizational initiatives and ensure alignment with reporting requirements<br>• Providing analysis and insights to senior management on financial performance, including budget variance explanations, revenue forecasting, and cost management initiatives<br>• Partnering with the CFO in shaping and executing corporate financial strategies. Finance and Operations Manager <p><strong>Position Overview:</strong></p><p>We are seeking an experienced Senior Financial and Office Manager to oversee financial operations, accounting, banking, budgeting, and office administration. The ideal candidate will have a background in financial management, retail operations, and be highly proficient in Excel. This role involves managing financial tasks such as banking relationships, monthly statements, accounts payable/receivable, budgeting, and also overseeing administrative, legal, and office management duties.</p><p><br></p><p><strong>Key Responsibilities:</strong></p><p><strong>Financial Management</strong></p><ul><li>Oversee financial operations, particularly in retail finance, hospitality, or similar fields.</li><li>Manage all banking activities, including relationships, wire transfers, ACH, account management, deposits, and fees.</li><li>Work closely with the Controller on budgeting, variance analysis, and providing insights to ownership.</li><li>Coordinate the creation and approval of budgets, templates, and financial reports.</li><li>Handle accounts payable/receivable tasks, ensuring approvals, ACH coordination, and timely deposits.</li><li>Manage loans, including documentation, balances, amortization schedules, and transfers.</li><li>Ensure accurate general ledger maintenance, P& L reviews, and month-end reporting.</li><li>Coordinate with accountants on tax filings and financial statements.</li></ul><p><strong>Legal and Compliance</strong></p><ul><li>Oversee legal entity formation, ensuring proper documentation and signatures.</li><li>Manage insurance compliance, including renewals, claims, and audits.</li><li>Oversee contracts for leases, remodels, and insurance, coordinating with ownership and departments.</li></ul><p><strong>Lease and Property Management</strong></p><ul><li>Maintain rental property leases, invoicing, and payments.</li><li>Collaborate with construction and ownership teams on real estate properties.</li><li>Oversee insurance renewals, claims, and maintenance of Insurance Information.</li></ul><p><strong>Administrative and Office Management</strong></p><ul><li>Manage office staff, including hiring, performance reviews, and day-to-day operations.</li><li>Oversee office calendar, PTO, and vacations.</li><li>Administer office systems, software, and email management.</li><li>Act as the main point of contact for systems and software integration.</li></ul><p><strong>Miscellaneous Duties</strong></p><ul><li>Oversee employee benefits, including holiday bonuses, health insurance claims, and general benefits.</li><li>Work with the COO on community initiatives, fundraising, and donation requests.</li><li>Ensure compliance with permits, franchise renewals, and company policies.</li></ul><p><strong>Qualifications:</strong></p><ul><li>Strong proficiency in Excel and financial management systems.</li><li>Experience in retail finance or related industries.</li><li>Solid understanding of banking, accounts payable/receivable, and financial reporting.</li><li>Knowledge of legal entity formation, insurance, and lease management.</li><li>Excellent organizational, leadership, and communication skills.</li><li>Ability to handle sensitive financial and legal matters with discretion.</li></ul><p><br></p> Accounting Manager/Supervisor <p><strong>Position Overview</strong></p><p>We are seeking an experienced <strong>Accounting Manager</strong> to oversee and streamline key financial processes within our organization. Reporting to the Senior Controller, this role involves managing the month-end close cycle, revenue recognition, financial reporting, and various operational accounting functions. The ideal candidate thrives in a fast-paced environment, has a passion for problem-solving, and is adept at meeting critical deadlines.</p><p><br></p><p><strong>Primary Responsibilities</strong></p><ul><li>Oversee the month-end close process, ensuring accuracy, adherence to accounting standards, and timely reporting.</li><li>Collaborate with cross-functional accounting teams to execute seamless financial close activities.</li><li>Analyze and review customer agreements to ensure proper revenue recognition in compliance with applicable standards.</li><li>Prepare and review journal entries, account reconciliations, and financial schedules as part of monthly reporting.</li><li>Generate detailed financial analytics for income statements, balance sheets, and performance reviews.</li><li>Partner with operations leadership to address financial and operational needs, including ad hoc reporting.</li><li>Coordinate billing, accounts receivable, accounts payable, and collection efforts across multiple stakeholders.</li><li>Resolve discrepancies with clients and maintain positive relationships through proactive communication.</li><li>Implement and maintain internal controls, policies, and procedures to support compliance and operational efficiency.</li><li>Collaborate with internal and external auditors during financial reviews and control testing.</li><li>Lead or support special projects to improve financial systems, processes, and reporting capabilities.</li></ul><p><br></p> Sr. Manager FP&A <ul><li>Very large Private Equity owned company with operations around the USA is seeking a Sr. Manager of Financial Planning and Analysis. Candidate will direct the consolidation and analysis of financial results of all business units (Income Statement, Balance Sheet and Cash Flow).  </li><li>Prepares and presents monthly reports for senior management and the Board of Directors on financial results and forecasts, including write-ups of business unit operational results, cash flows and compliance with credit agreements.</li><li>Creates three statement models (P& L, balance sheet and cash flow) related to company and business unit financing needs, including debt capacity, interest coverage and ability to repay debt.</li></ul><p>Must have very strong Financial Modeling skills ideally with a foundation in Investment Banking or some type of Corporate Financial Analysis training program.    Must be very strong in developing board level presentation materials.  Very high exposure here to the Sr. Leadership team.  MBA or CFA preferred…...top caliber / faster track candidates preferred with upside potential to grow in this larger organization.  The company operates on a Hybrid work schedule in central Morris County.  The company offers a very competitive salary in the $150-175K base salary range plus 20% target bonus depending on experience.    Excellent benefits offered as well here.  </p> Finance Director <p>Robert Half Talent Solutions is representing a leading non profit in the Bethlehem, PA area that is seeking a Finance Director. This organization has been at the forefront of key initiatives and achievements. They are committed to making a difference in the lives of individuals through innovative programs and community engagement. The Director of Finance will play a crucial role in overseeing all financial aspects of the organization, ensuring financial health and sustainability to support the mission and growth.</p><p><br></p><p>If you are already in contact with one of our Recruiting Managers, please reach out to them directly to discuss this opportunity. If not, for immediate consideration, please apply or call Warren Knight at 484-214-2624</p><p><br></p><p><strong>Key Responsibilities:</strong></p><ul><li><strong>Financial Strategy:</strong> Develop and implement financial strategies aligned with the organization’s mission and goals.</li><li><strong>Budgeting and Forecasting:</strong> Lead the annual budgeting process and provide regular financial forecasts and insights to the Executive Director and Board of Directors.</li><li><strong>Financial Management:</strong> Oversee day-to-day financial operations, including accounts payable/receivable, payroll, and financial reporting.</li><li><strong>Grant and Contract Management:</strong> Manage financial aspects of grants and contracts, ensuring compliance and reporting requirements are met.</li><li><strong>Risk Management:</strong> Develop and implement policies and procedures to mitigate financial risks and ensure compliance with regulatory requirements.</li><li><strong>Financial Analysis:</strong> Provide strategic financial analysis and guidance on decision-making initiatives, including programmatic investments and fundraising activities.</li><li><strong>Team Leadership:</strong> Supervise and mentor finance team members, fostering a collaborative and high-performing work environment.</li></ul><p><strong>Benefits:</strong> We offer a competitive salary commensurate with experience and a comprehensive benefits package, including health insurance, retirement plans, and professional development opportunities.</p> Accounting Manager <p>Join a rapidly growing Consumer Packaged Goods (CPG) company in Jersey City that offers an exciting opportunity to partner with a dynamic and sharp team! We’re seeking an experienced Accounting Manager to drive crucial financial operations and ensure accuracy, while contributing to the company's continued success.</p><p><br></p><p>As the Accounting Manager, you will play a critical role in managing and optimizing the accounting functions for the company. Responsibilities include, but are not limited to:</p><ul><li>Oversee monthly and quarterly closings, ensuring accurate and timely financial reporting.</li><li>Perform general ledger (GL) analysis and review journal entries to uphold financial integrity.</li><li>Oversee account reconciliations and conduct balance sheet analysis to identify and resolve discrepancies.</li><li>Provide support for year-end closing activities and assist with external audits by preparing required documentation.</li><li>Prepare detailed and accurate financial statements and other operational reports.</li><li>Manage and supervise the Accounts Payable team, ensuring smooth day-to-day operations.</li><li>Supervise and mentor Staff Accountants, fostering professional development and maintaining team performance.</li><li>Conduct financial analysis to identify key insights and trends for leadership decision-making.</li><li>Collaborate on ad hoc special projects to support senior management initiatives.</li></ul><p><br></p><p>Preferred:</p><ul><li>CPA (Certified Public Accountant) certification or MBA (Master of Business Administration).</li><li>Foundational experience in public accounting.</li></ul><p>Skills and Attributes:</p><ul><li>Strong attention to detail with exceptional organizational and analytical abilities.</li><li>Ability to manage multiple priorities and meet deadlines in a fast-paced environment.</li><li>Proficiency in financial systems and software tools, alongside advanced Excel capabilities.</li></ul><p><br></p> Finance Manager <p>Responsibilities</p><p>• Oversee and manage the financial strategy and operations of the organization</p><p>• Assist in the preparation of annual budgets and quarterly/annual forecasting</p><p>• Conduct detailed analysis of the company's financial status and performance</p><p>• Identify and propose potential areas for improvement based on financial analysis</p><p>• Provide data-driven insights to guide decision-making processes</p><p>• Offer proactive solutions for growth and improvement based on financial data</p><p>• Review, analyze, and interpret financial data and market trends to propose growth strategies</p><p>• Manage the company's financial accounting, monitoring, and reporting systems</p><p>• Implement and improve financial management processes using SAP</p><p>• Drive process improvement initiatives to enhance efficiency and accuracy in financial operations.</p> SAP SAC Consultant <ul><li>We are seeking a skilled <strong>SAP Analytics Cloud (SAC) Planning Consultant</strong> to support our team in implementing and enhancing our planning system. The ideal candidate will have hands-on experience in revenue and cost planning, profit & loss (P& L) planning, and workforce cost planning. This role requires a strong understanding of SAP SAC planning models, data actions, advanced formulas, and integration with S/4HANA. The consultant will work closely with Financial Planning & Analysis (FP& A) teams, lead technical discussions, and drive system improvements for effective financial planning and reporting.</li></ul><p><strong>Key Responsibilities:</strong></p><p>·       Lead end-to-end implementation and enhancement of SAP SAC planning solutions.</p><p>·       Work closely with FP& A teams to gather business requirements and align planning logic with organizational needs.</p><p>·       Develop and optimize revenue, cost, and P& L planning models, ensuring accuracy and efficiency.</p><p>·       Oversee data integration with S/4HANA and other source systems to enable seamless planning processes.</p><p>·       Implement advanced data actions, workflows, and automation to streamline financial planning and forecasting.</p><p>·       Provide technical leadership to the development team and ensure best practices in SAC modeling and calculations.</p><p>·       Drive system go-live, hyper-care support, and user training to ensure successful adoption.</p><p>·       Identify opportunities for continuous improvement, propose system enhancements, and document key learnings.</p> CFO <p>Our client is hiring a small company CFO working with a government agency.</p><p><br></p><p><strong>Core Responsibilities:</strong></p><p><strong>Invoicing and Revenue Management</strong></p><ul><li>Ensure accurate and timely generation of invoices for services or products provided to the government agency.</li><li>Monitor accounts receivable and follow up on outstanding payments.</li><li>Reconcile discrepancies in billing or payments with the agency.</li></ul><p><strong>Budgeting and Financial Planning</strong></p><ul><li>Develop and manage annual budgets in compliance with government contract terms and regulations.</li><li>Allocate resources effectively to meet both company and agency requirements.</li><li>Prepare budget justifications and revisions as needed.</li></ul><p><strong>Auditing and Compliance</strong></p><ul><li>Ensure adherence to government financial policies, such as Federal Acquisition Regulations (FAR) or other applicable standards.</li><li>Coordinate internal and external audits, preparing necessary documentation and resolving findings.</li><li>Maintain records for transparency and compliance with government reporting standards.</li></ul><p><strong>Forecasting and Strategic Planning</strong></p><ul><li>Create short- and long-term financial forecasts to guide company decisions and maintain alignment with contract objectives.</li><li>Analyze trends, risks, and opportunities to inform future planning.</li><li>Advise leadership on financial strategies to optimize profitability and cash flow.</li></ul><p><strong>Full-Cycle Accounting</strong></p><ul><li>Manage all aspects of accounting, including payroll, accounts payable, and general ledger reconciliation.</li><li>Oversee month-end and year-end close processes.</li><li>Prepare financial statements, ensuring accuracy and compliance with GAAP or other relevant frameworks.</li></ul><p><strong>Reporting and Communication</strong></p><ul><li>Compile and submit periodic financial reports required by the government agency, ensuring accuracy and timeliness.</li><li>Serve as the financial liaison between the company and government agency, addressing queries or concerns.</li><li>Present financial performance summaries and updates to company leadership.</li></ul><p><strong>Risk Management and Controls</strong></p><ul><li>Identify and mitigate financial risks, particularly related to government contracts or funding.</li><li>Implement internal controls to safeguard assets and ensure proper use of funds</li></ul><p>To apply please email a resume in a Word format to Pam Lim at Pam.Lim@roberthalf.</p><p><br></p> Finance Manager We are offering a long term contract employment opportunity for a Finance Manager in NEW YORK, New York. In this role, you will be working within the finance industry, carrying out a range of duties including financial reporting, forecasting, and process improvement.<br><br>Responsibilities:<br><br>• Analyze the profitability and conduct financial modeling to back strategic initiatives<br>• Develop and sustain financial forecasting models<br>• Coordinate with various departments to identify potential areas for cost reduction and process improvement<br>• Play an active role in annual budgeting and strategic planning processes<br>• Prepare and present comprehensive reports that communicate financial results and key performance indicators to management<br>• Ensure data validation and interpretation, maintaining accuracy and relevance<br>• Use Business systems, CRM, Data Mining Techniques, Accounting Functions, Auditing, Budget Processes, Oracle, Hyperion Enterprise, Microsoft Excel for various tasks<br>• Engage in cross-functional projects where substantial financial analysis skills are required<br>• Generate monthly, quarterly, and annual financial reports Accounting Manager We are offering a long-term contract employment opportunity for an Accounting Manager in New York, New York. In this role, you will be part of an industry that thrives on meticulousness and accuracy. Your core responsibilities will involve managing financial reporting, overseeing accounting functions, and ensuring compliance with ASC 606 and ASC 842 standards.<br><br>Responsibilities:<br><br>• Handle the close of the month, ensuring all financial aspects are in order<br>• Oversee the process of financial reporting, presenting accurate and timely financial data<br>• Manage the application of ASC 606 for revenue recognition, maintaining amortization schedules, and ensuring alignment between accruals and payments<br>• Apply the ASC 842 standards to leases, particularly in relation to VR headsets<br>• Oversee both Accounts Payable (AP) and Accounts Receivable (AR), ensuring smooth operations<br>• Manage auditing processes to ensure financial integrity and compliance<br>• Oversee billing functions, ensuring accuracy and timeliness<br>• Uphold high standards of accounting functions, ensuring adherence to industry practices. Treasury Senior Analyst - Fortune 100 <p>We are offering an exciting opportunity for a Treasury Senior Analyst to join our team in the advertising industry, based in Stamford, Connecticut. This role primarily involves managing foreign exchange hedging on a global scale, with a secondary focus on intercompany dividends and funding. </p><p><br></p><p>Responsibilities:</p><p>• Identifying and mitigating FX risks; overseeing FX and intercompany transactions.</p><p>• Assisting in the development and management of FX exposure reports.</p><p>• Advising staff on currency risk mitigation and aiding with intercompany funding.</p><p>• Collaborating with accounting in hedge documentation and regulatory compliance.</p><p>• Ensuring efficient settlements, risk-managed capital flow operations, and tracking dividends.</p><p>• Calculating and conveying monthly FX valuation changes.</p><p>• Implementing due diligence in establishing intercompany interest rates.</p>
2