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 ManagerHighmark Health is seeking a skilled financial analyst to perform in-depth financial research and analysis in Washington, DC. Responsibilities include developing financial forecasts, managing projects, and presenting findings to management.
Senior Financial Analysis Lead - Strategy & ForecastingPerform detailed cash flow analysis and forecasting, including short-term liquidity planning and long-term cash flow projections. This role focuses on cash flow management, balance sheet analysis, and overall financial performance, providing insights that guide strategic and operational decision-mak
Financial Analyst, Cash FlowThe successful candidate will manage cash flow, conduct financial analysis, and prepare detailed reports. This hybrid position is open to local DMV candidates only and requires 2+ years of treasury experience. Treasury Analyst in Washington, DC.
Treasury Analyst - Hybrid, Cash Flow & InvestmentsProvide recommendations of alternatives for corrective actions related to deficiencies in accounting, financial management, internal and management controls, and other financial operations. Demonstrated specialized experience in a federal financial management function such as an accountant, financia
Financial Management Analyst (CPA) - Springfield, VA,Top Secret/SCIServes as a technical expert in the performance of tax computations in cases with significant tax compliance issues and provides expert advice that may impact tax compliance strategy and the Appeals program as a whole. May be assigned to multiple complex tax computational cases simultaneously. Colla
Internal Revenue Agent (Senior Revenue Agent/Lead Tax Computation Specialist)Current tasks performed by the division include, but are not limited to: Support services for budget formulation Provide budget reporting Program analysis Commercial payments, accounts payable and reconciliations Prior year account closeout experience of contracts Developing financial manageme
Budget Analysis Support - Financial ManagementTreasury Analyst to manage daily cash positions and support treasury operations in Washington, DC. The role involves financial analysis, reporting, and maintaining databases. Ideal candidates will have a Bachelor's degree in Finance or similar, plus 2+ years of experience in a treasury-related role.
Cash Flow & Treasury AnalystRequirements 4+ years of tax preparation experience Preference for someone with proven ability to perform tax return preparation using Intuit ProConnect or similar tax software Preference for someone with QuickBooks Online and Microsoft Office proficiency Duties and Responsibilities Prepare Fed
Tax Advisor (EA, CPA, CPA Candidate)Principal Associate, Financial Analysis – Risk Management and Risk Tech We are seeking an intellectually curious analyst to join our team that runs financial planning and analysis for the Enterprise Risk and Risk Technology organizations. At least 3 years of experience in financial analysis, finan
Principal Associate, Financial Analysis - Risk Management and Risk TechProvides analysis and feedback, including financial forecasts and models, to management and Space Committee on impact of internal decisions and external factors, such as regulatory changes;. The Director, Financial Analysis & Cost Management Accounting, is responsible for analyzing financial data, d
Director, Financial Analysis & Cost Management AccountingPreferred Skills Book of Business Client Relationship Building Customer Engagement Decision Making Financial Analysis Identifying Sales Opportunities Business Acumen Client Relationship Management Customer Experience Management Decision Making and Critical Thinking Effective Communications Industry
Treasury Management Officer II - Strategic PartnersTransamerica Asset Management (TAM) is a division within Aegon Asset Management, an active global asset management firm with investment capabilities that span public and private markets across asset classes, sharing a common belief in fundamental, research-driven active management. Typically five ye
Senior Internal Controls Analyst - Transamerica AMBuild 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 ManagerThe ideal candidate has a Bachelor’s degree in relevant fields and some experience in financial management, particularly in DoD environments. A defense consulting firm in Falls Church, VA, is seeking a Financial Management Analyst at the Jr. Responsibilities include assisting in internal control e
Financial Risk & Internal Controls AnalystThe Financial Management Analyst position provides acquisition-focused financial management support. Bachelor's degree with 10+ years of experience with background in budget and financial management. SPA provides eligible employees with an opportunity to enroll in a variety of benefit programs, gene
Budget and Financial Management SpecialistThis 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
Cash Management and Accounts Payable ManagerThe ideal candidate will have at least 3 years of experience with the FIS Quantum cash module and strong expertise in Treasury Cash Management system configuration. IO is looking for a skilled FIS Quantum Business Analyst to support our Treasury Cash Management operations.
Quantum Treasury Analyst Cash ManagementResponsibilities include supporting and working alongside other teams within Fiscal Services, as directed by supervisor, Associate Vice President and Controller, and Finance leadership on assigned fiscal projects/initiatives; supporting fiscal year-end close activities, including account reconciliat
Director, Financial Analysis & Cost Management AccountingAnalyze audit findings, conclusions, and recommendations to formulate alternatives for corrective actions related to business processes, accounting, financial management, internal and management controls, and other CFO operations. Responsibilities are accomplished primarily through seven organizatio
Senior Federal Financial Management Analyst / Auditing Support