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4 results for Sec Financial Reporting Analyst in Richmond, VA

FP&A Analyst
  • Richmond, VA
  • remote
  • Temporary / Contract
  • 50 - 60 USD / Hourly
  • We are looking for an experienced FP&amp;A Analyst to support financial planning and performance analysis for a Contract position based in Richmond, Virginia. This role will focus on turning historical and operational data into practical financial insights through forecasting, dashboard development, and custom reporting. The ideal candidate brings strong analytical judgment, advanced reporting capabilities, and hands-on expertise with Deltek Vantagepoint and Power BI to help leaders evaluate revenue trends and project-level profitability.<br><br>Responsibilities:<br>• Build and maintain financial dashboards and reporting tools that deliver clear visibility into revenue performance, project results, and key business metrics.<br>• Develop forecasting models using historical data and current business information to support planning, budgeting, and financial decision-making.<br>• Prepare customized analyses and ad hoc reports for leadership, translating complex financial data into actionable recommendations.<br>• Evaluate profit and loss performance across projects to identify trends, risks, and opportunities for improved financial outcomes.<br>• Leverage Power BI to organize, visualize, and present financial information in a way that supports timely and informed business decisions.<br>• Manage and validate data from financial and operational systems to improve reporting accuracy, consistency, and usability.<br>• Partner with stakeholders to understand reporting needs and deliver insights that align with broader business objectives.<br>• Support data mapping and financial system reporting activities, including work related to ERP and performance management platforms when needed.
  • 2026-10-02T00:00:00Z
Financial Reporting Manager
  • Richmond, VA
  • onsite
  • Permanent / Full Time
  • 120000 - 135000 USD / Yearly
  • <p>Accounting and Reporting Manager - Richmond VA - Hybrid schedule</p><p><br></p><p>We are looking for an experienced financial reporting leader to oversee accounting operations and strengthen reporting accuracy across the organization. This role combines strategic oversight with day-to-day involvement, requiring someone who can lead teams, improve processes, and support sound financial decision-making. The ideal candidate brings deep knowledge of financial reporting, compliance, and month-end controls, along with the ability to build strong partnerships across departments. The ideal candidate will have consolidations and eliminations experience for a PE backed, multi-entity organization. Foreign currency experience highly desired. </p><p><br></p><p>Responsibilities:</p><p>• Direct the daily performance of the accounting function, financial reporting, and compliance activities across North American operations.</p><p>• Lead and coach accounting staff by providing guidance, performance feedback, skills development, and thoughtful alignment of responsibilities to meet business needs.</p><p>• Support a collaborative team culture by stepping into operational or analytical work when needed and helping remove obstacles that affect productivity or service quality.</p><p>• Oversee monthly close activities to ensure revenue, expenses, accruals, and cut-off procedures are recorded accurately and on schedule.</p><p>• Monitor receivables and collection efforts closely, facilitate regular reviews of aging and payment risks, and escalate unresolved issues that may impact timely cash collection.</p><p>• Review existing accounting workflows and internal controls, recommend practical improvements, and drive approved changes that increase efficiency, accuracy, and consistency.</p><p>• Partner with leaders across the business to coordinate accounting support for new services, customer onboarding, and process updates that affect financial operations.</p><p>• Manage external or internal technology resources assigned to accounting-related projects, including financial system enhancements, upgrades, and related process documentation.</p><p>• Maintain and advance accounting policy and procedure documentation to support compliance, continuity, and standardized execution across the department.</p>
  • 2026-09-14T00:00:00Z
Credit Analyst
  • Glen Allen, VA
  • onsite
  • Temporary / Contract
  • 28 - 30 USD / Hourly
  • We are looking for a Credit Analyst to support a busy credit team within a machinery manufacturing environment in Glen Allen, Virginia. This Long-term Contract position focuses on assessing new customer accounts, maintaining accurate credit-related reporting, and helping manage account review activities as customer volume grows. The ideal candidate brings strong commercial credit knowledge, sound attention to detail, and the ability to work effectively in a fast-paced team setting.<br><br>Responsibilities:<br>• Review and assess credit information for new customer accounts to support timely and accurate onboarding decisions.<br>• Process a high volume of incoming customer account evaluations while maintaining consistency and documentation standards.<br>• Generate and monitor weekly credit reports to provide visibility into account status, exposure, and outstanding items.<br>• Examine accounts placed on credit hold, gather relevant details, and prepare findings for further review and decision support.<br>• Coordinate with internal teams to collect credit applications and verify required account setup information.<br>• Maintain organized records within the ERP system to ensure customer credit data remains current and accessible.<br>• Support commercial collections-related activities by tracking account trends and identifying items that may require follow-up.<br>• Collaborate with the broader credit team to help manage workload priorities and maintain service levels during increased onboarding activity.
  • 2026-10-02T00:00:00Z
Treasury Analyst
  • Glen Allen, VA
  • onsite
  • Permanent / Full Time
  • 80000 - 90000 USD / Yearly
  • <p>Richmond Based international organization is seeking a treasury specialist to support cash planning, banking operations, and reporting activities for a growing international organization. This role contributes to daily liquidity oversight, global funding coordination, and foreign exchange visibility while helping maintain strong banking controls and accurate treasury documentation. The position also partners with finance teams and assists with selected payables-related processes that support efficient vendor administration and regulatory reporting.</p><p><br></p><p>Responsibilities:</p><p>• Develop and update near-term and long-range cash projections for U.S. and international business units to support funding decisions.</p><p>• Track daily cash balances across global accounts, evaluate liquidity needs, and identify opportunities to improve working capital efficiency.</p><p>• Oversee administration of banking platforms and treasury portals, including user access, security permissions, and authorized signer records.</p><p>• Coordinate with banking partners on account setup, maintenance changes, closures, and related documentation while keeping account records current.</p><p>• Prepare recurring treasury reports covering cash positions, debt activity, liquidity trends, and key banking metrics for leadership review.</p><p>• Support audit and compliance needs by supplying bank confirmations, policy documentation, internal control records, and other treasury materials.</p><p>• Monitor foreign currency exposure, review exchange-related gains and losses, and assist with currency transactions or hedging activities when needed.</p><p>• Partner with domestic and international finance teams on intercompany loans, capital movements, dividend activity, and cross-border funding requirements.</p><p>• Provide support for selected accounts payable activities, including vendor onboarding administration and annual 1099 compliance processes.</p>
  • 2026-10-02T00:00:00Z