Top Hybrid Finance Jobs in San Francisco Bay Area
Join Grammarly as a Revenue Accounting Lead working in a dynamic and detail-oriented environment. Manage revenue recognition, commissions, billing, collections, and collaborate with cross-functional teams to streamline processes and support new business initiatives. Take ownership of projects and drive system enhancements for efficiency. Be a key team member responsible for accurate and timely reporting of revenue results and areas for audit.
Administer and serve as the in-house expert for financial modeling and planning system. Collaborate with cross-functional teams to design and build complex financial models. Provide ongoing support and maintenance of models. Integrate models with other enterprise systems. Help build dashboards and key metrics reporting.
Looking for a Finance & Strategy Senior Analyst to join Block and help build out a best in class financial reporting arm for Cash App and Commerce businesses. Responsibilities include understanding market dynamics, driving cross-functional partnerships, reporting and analyzing business results, managing ad-hoc analyses, and supporting finance technology initiatives.
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Manage strategic finance functions including providing insights to executives, improving financial reporting, supporting system implementations, collaborating with cross-functional teams, and mentoring financial analysts. Develop budgets, forecasts, and business review content for decision-making. Must have 8+ years of experience in corporate FP&A or similar roles, financial modeling skills, and proficiency in Excel, PowerPoint, and BI tools.
Seeking an experienced Corporate Finance Lead to drive financial planning and resource allocation at a high-growth technology company. Responsibilities include leading planning processes, providing insights on financial performance, and supporting operations efficiency. Must have 8+ years of work experience in relevant fields and strong analytical skills.
The Senior Analyst, FP&A is a key contributor in the Finance organization who supports GRAIL’s Annual Planning process and helps transform strategy and vision into financial plans.
Looking for a Financial Analyst, FP&A professional with 5+ years of experience in FP&A or corporate finance. Responsible for strategic financial modeling, forecasting, relationship management, and ad hoc financial analyses. Must have strong analytical abilities, communication skills, and a degree in a relevant field.
Join Gusto as a Corporate Finance Manager to drive financial planning, resource allocation, and key reporting insights for company-wide decision making. Partner cross-functionally, automate reporting, and improve capital allocation efficiency. Requires 4+ years of experience in Corporate Finance with advanced Excel skills and familiarity with financial tools like Workday and Tableau.
The Senior Treasury Manager at Canva will be responsible for global cash management activities, bank account administration, investment strategies, and leading treasury integration efforts. They will also play a key role in process improvement, automation initiatives, and collaborate on ad hoc treasury projects. The ideal candidate should have 8+ years of experience in international treasury operations and a Bachelor's degree in finance or a business-related field.
Seeking a Financial Associate to build out the R&D Business Partnership function at Chime. Responsibilities include cost forecasting, budget tracking, and financial model building. Requires 3+ years of finance/FP&A experience and expertise in financial modeling and Microsoft tools. Experience with additional software tools is a bonus. Full-time position with competitive salary and benefits.
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