This team member will be responsible for overall cash management, including cash forecasting, working directly with the Accounts Receivable Manager, and managing the entire accounts payables process and team, working closely with Vendor Operations, with accompanying general ledger accounting respons
Remote Cash Management and Accounts Payable ManagerCollaborate with broader Amazon Tax teams including reporting and compliance, transfer pricing, indirect tax, and tax provision to ensure coordinated, cross-functional tax solutions. The candidate will also work closely with other members of the global tax department to communicate current and fut
Tax Manager, Ring, Ring Finance/AccountingThis hybrid position involves managing cash flow, investments, and financial reporting while supporting senior leadership with essential financial data. Key responsibilities include preparing reports, reconciling cash accounts, and analyzing financial records for trends and improvements. Treasury An
Hybrid Treasury Analyst: Cash Flow & InvestmentsThe role involves supporting cash management, investment tracking, and financial reporting. Candidates should possess strong analytical and Excel skills, alongside a Bachelor’s degree in Finance or Accounting. Dhaka Technologies Limited Company is hiring a Treasury Analyst in Washington, United St
Treasury Analyst: Cash Management & Investments (Hybrid)Lead annual budgeting, forecasting, and long‑range planning processes tied to the fiscal year‑end Partner with Marketing, Product, and Go‑to‑Market teams on spend planning and performance tracking Build and maintain financial models, identify trends, and explain variances Provide clear fi
Senior FP&A Leader Strategic Budgeting & ForecastingThe Institute of Management Accountants, Inc. This role involves working closely with business and finance leaders to deliver critical financial analysis.
Financial Analyst Trainee: Data-Driven Finance RotationCollaborate with broader Amazon Tax teams — including reporting and compliance, transfer pricing, indirect tax, and tax provision — to ensure coordinated, cross‑functional tax solutions. Taxation) Experience working in a large public accounting firm or multi‑national corporate tax departmen
Tax Manager, Ring, Ring Finance/AccountingMatrix Finance and Accounting is looking for a Risk Management Specialist to join their outstanding team in Seattle. Ideal candidates should have over 3 years of experience in risk management and a relevant degree.
Risk Management Specialist - Seattle OnsiteDhaka Technology Limited is seeking a detail-oriented Treasury Analyst to support cash management and financial reporting in Washington, DC. The selected candidate will play a key role in managing daily cash positions, performing analysis on treasury-related data, and preparing financial reports. Th
Treasury Analyst: Cash Management & Investments (Hybrid)Amazon is seeking a professional in Seattle to manage cash operations for a massive region, focusing on cash positioning, forecasting, and optimizing banking structures. You will collaborate with various teams to automate cash management processes and simplify funding. The ideal candidate has over 5
Treasury Operations Lead: Cash Forecasting & FundingBachelor's degree in Accounting, Finance, or a related field required; Master's in Taxation or Accounting preferred. Proficiency with tax and accounting software (Drake, Lacerte, QuickBooks, Xero preferred) and practice management tools (Karbon preferred); Microsoft Office Suite. Oversee accounting
Tax & Accounting Senior Manager (CPA)Finance Operations Accounting & Analysis (FOAA) performs accounting and financial planning & analysis services, and our primary customers are Finance Operations, Central Accounting and other Amazon Finance teams. FOAA seeks an experienced Finance Manager to support Accounts Receivable Accounting. Ou
Finance Manager, Program Management & Controllership, Finance Operations Accounting & Analysis (FOAA)WW Stores Finance seeks a Finance Manager to plan, report, and provide insightful analysis on Free Cash Flow and Working Capital for the entire WW Stores business. Educate others across the business as a subject matter expert in Free Cash Flow and Working Capital. In addition to reporting on busines
Finance Manager, WW Stores Free Cash FlowBuild impactful relationships with new and existing clients and maintain relationship with firm leadership Create a positive and trusting environment where team members know each other and feel a part of their team Able to identify key tax technical issues and raise the appropriate questions before
Financial Services - Wealth and Asset Management - Tax Manager