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    81 results for Senior Financial Analyst in Philadelphia, PA

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    Industry leading, manufacturer is looking to add a Senior Financial Analyst with proven expertise reconciling key metrics and utilizing ERP systems. This role will consist of assisting with financial planning and analysis, manipulating financial data, finance partnering, in depth analyst on budgets, forecasting, maintaining data visualization tools, compiling costs, presenting data calculations, analyze and report on P& L, prepare balance sheets, perform financial modeling, and build lasting relationships with internal leadership and the corporate management teams. This Senior Financial Analysis must have the ability to provide transparency on allocated cost and develop effective tools for reporting and controlling while implementing strategic initiatives and execution.

     

    How you will make an impact

    ·      Analysis of financial and operations processes

    ·      Prepare financial analysis on cost drivers

    ·      Analyze and track KPIs

    ·      Create financial dashboards

    ·      Identify potential financial risks

    ·      Budgeting & Forecasting

    ·      Financial Reconciliation

    ·      Process Improvement Initiatives

    ·      Reviewing/Creating complex financial models

    The ideal Senior Financial Analyst will have a Bachelors degree in Finance, Accounting or similar.


    Other requirements for the Senior Financial Analyst role include and are not limited to:

    ·      5+++ years of finance and financial reporting experience

    ·      MUST have Power BI

    ·      Advanced Microsoft Excel skills

    ·      Manufacturing and/or distribution industry experience preferred


    For more information on this Senior Financial Analyst role and other full time accounting and finance opportunities, please contact us at 484.214.2902 and reference JO#03710-0013040751.

    Robert Half is the world’s first and largest specialized talent solutions firm that connects highly qualified job seekers to opportunities at great companies. We offer contract, temporary and permanent placement solutions for finance and accounting, technology, marketing and creative, legal, and administrative and customer support roles. Robert Half works to put you in the best position to succeed. We provide access to top jobs, competitive compensation and benefits, and free online training. Stay on top of every opportunity - whenever you choose - even on the go. Download the Robert Half app and get 1-tap apply, notifications of AI-matched jobs, and much more. All applicants applying for U.S. job openings must be legally authorized to work in the United States. Benefits are available to contract/temporary professionals, including medical, vision, dental, and life and disability insurance. Hired contract/temporary professionals are also eligible to enroll in our company 401(k) plan. Visit roberthalf.gobenefits.net for more information. © 2025 Robert Half. An Equal Opportunity Employer. M/F/Disability/Veterans. By clicking “Apply Now,” you’re agreeing to Robert Half’s Terms of Use.

    81 results for Senior Financial Analyst in Philadelphia, PA

    Sr. Financial Analyst <p>Industry leading, manufacturer is looking to add a Senior Financial Analyst with proven expertise reconciling key metrics and utilizing ERP systems. This role will consist of assisting with financial planning and analysis, manipulating financial data, finance partnering, in depth analyst on budgets, forecasting, maintaining data visualization tools, compiling costs, presenting data calculations, analyze and report on P& L, prepare balance sheets, perform financial modeling, and build lasting relationships with internal leadership and the corporate management teams. This Senior Financial Analysis must have the ability to provide transparency on allocated cost and develop effective tools for reporting and controlling while implementing strategic initiatives and execution.</p><p> </p><p>How you will make an impact</p><p>·      Analysis of financial and operations processes</p><p>·      Prepare financial analysis on cost drivers</p><p>·      Analyze and track KPIs</p><p>·      Create financial dashboards</p><p>·      Identify potential financial risks</p><p>·      Budgeting & Forecasting</p><p>·      Financial Reconciliation </p><p>·      Process Improvement Initiatives </p><p>·      Reviewing/Creating complex financial models</p> Sr. Financial Analyst <p>Thriving client in the Wilmington Delaware area has a full-time need for a Sr. Financial Analyst with a cost accounting background. In this role, you will be responsible for all accounting functions including costing, budgeting and month end close. The Sr. Financial Analyst will provide financial analysis on future revenues and expenditures, advise on the allocation of resources, and report accurate findings to management for review. We would like a candidate with strong analytical thinking and problem-solving skills.</p><p><br></p><p>What you get to do everyday</p><p>·       Review and analyze financial statements/reports</p><p>·       Develop financial models and forecasting</p><p>·       Provide monthly variance analysis</p><p>·       Conduct thorough research on current and past financial data</p><p>·       Establish and evaluate profit plans</p><p>·       Review internal controls of accounting applications</p><p>·       Explore investment opportunities</p><p>·       Prepare cost projections</p><p>·       Ensure compliance with financial guidelines and company policies</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 We are offering an exciting opportunity for a Sr. Financial Analyst in Reading, Pennsylvania. This role involves managing the overall direction and completion of the Business Plan Process in our industry. You will be required to plan, direct, and coordinate activities of the Business Plan to ensure that milestones are achieved within the set time frame and funding parameters. <br><br>Responsibilities:<br>• Act as the primary point of contact for the annual business plan process, involving all field locations and corporate departments<br>• Coordinate and communicate the steps required for the completion of the business plan process<br>• Deliver multiple training sessions to the field and corporate locations personnel on the Business Plan model<br>• Respond promptly to queries, resolving any issues in coordination with other parties, during the business plan entry period<br>• Ensure accurate and timely upload and validation of all Business plan revenue and cost information to match the financial targets set by management<br>• Handle recurring reporting and ad-hoc project requests as deemed necessary by the Manager of FP& A<br>• Update slides for monthly package for board, and generate packet of backup reporting for use by the CFO and President<br>• Collaborate with the Manager of FP& A to explore and execute upon opportunities to streamline processes and/or develop analysis methodologies to better explain historical results and improve forecasting accuracy<br>• Work on other projects as assigned by the manager<br>• Utilize skills in Annual Budget, Annual Operating Budget, and Financial Reporting to perform tasks and responsibilities effectively. 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> Sr. Financial Analyst <p>The Senior Financial Analyst of Business Plan and Special Reporting will be responsible for the overall direction and completion of the Business Plan Process. Will plan, direct, and coordinate activities of Business Plan to ensure that milestones are accomplished within the prescribed time frame and funding parameters.</p><p> </p><p>This position will also be responsible for the completion of certain monthly/quarterly/yearly analysis and reporting packages which will be completed and presented to the Manager of Financial Planning & Analysis (FP& A) for final approval. Examples of reports may include: monthly internal P& L summary reports, quarterly and yearly tax summaries, external partner reporting, management reporting, capital forecasts, and overhead cost control reports.</p><p><strong> </strong></p><p><strong>MAJOR RESPONSIBILITIES</strong></p><p><strong> </strong></p><p><strong>Annual Business Plan</strong></p><p>- This position is the primary point of contact for the annual business plan process, encompassing all 800+ field locations and 150+ corporate departments of a multi-billion dollar business</p><p>- Responsible for the coordination and communication of the steps required for the completion of the business plan process. Major milestones are:</p><p>- Working with Field Finance and other stakeholders to identify process improvement opportunities and coordinating with MIS to ensure those changes meet user requirements with minimal disruption to the process</p><p>- Delivery of multiple training sessions to the field and corporate locations personnel on the Business Plan model</p><p>- While locations are entering plans in October, responding quickly to questions, and resolving any issues in coordination with MIS and other parties</p><p>- Accurate and timely upload and validation of all Business plan revenue and cost information to match the financial targets set by senior management</p><p><strong> </strong></p><p><strong>Reporting</strong></p><p>- As deemed necessary by the Manager of FP& A, this position will be responsible for both recurring reporting and ad-hoc project requests</p><p>- Update slides for monthly package for senior leadership and the board, and generate packet of backup reporting for use by the CFO and President</p><p><strong> </strong></p><p><strong>Operational Analysis</strong></p><p>- This position will be required to collaborate with the Manager of FP& A to explore and execute upon opportunities to streamline processes and/or develop analysis methodologies which help to better explain historical results and ultimately improve forecasting accuracy.</p><p>- Other projects as assigned by the manager</p><p> .</p> 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> Supply Chain Financial Analyst <p>Successful, international company seeks a Supply Chain Financial Analyst who can utilize ERP systems, financial software, and data analytics tools to enhance reporting accuracy. In this role, you will be responsible for providing financial insights and strategic support to optimize supply chain performance, analyzing costs, forecasting trends, preparing and presenting reports on KPIs, assisting with cost accounting, auditing invoice processing, reviewing cost of goods and services, and analyzing general ledger activities. The Supply Chain Financial Analyst should have proven experience in manufacturing/retail/logistics or distribution with proficiency in financial modeling, financial software, and experience with data visualization tools.</p><p><br></p><p>Major Responsibilities</p><p>·      Support cost-reduction initiatives by evaluating supplier pricing</p><p>·      Analyze cost structures, margins, and variances</p><p>·      Track and forecast budget performance, identify areas for improvement</p><p>·      Coordinate the annual capital plan with accounting team</p><p>·      Monitor procurement spending to align with financial goals</p><p>·      Prepare reports on key performance indicators related to supply chain costs and efficiency</p><p>·      Oversee capital spending allocation request submissions</p><p>·      Collaborate with procurement and logistics teams to improve demand planning and inventory control</p> Financial Analyst - Entry Level <p>Are you a recent college graduate eager to kickstart your career in finance? Robert Half is seeking motivated and ambitious individuals with educational backgrounds in <strong>Economics</strong>, <strong>Data Analytics</strong>, <strong>Criminal Justice</strong>, <strong>Business</strong>, <strong>Information Technology</strong>, <strong>Finance</strong>, or <strong>Accounting</strong> to join a dynamic organization as an <strong>Entry-Level Financial Analyst</strong> on a contract basis.</p><p><br></p><p>This is a fantastic opportunity to gain hands-on experience, collaborate with industry professionals, and develop the analytical and strategic skills essential for a successful finance career.</p> Sr. R/E Transactions Analyst <p>We are seeking an experienced Sr. R/E Transactions Analyst to join our real estate client's team in the Horsham Area, Pennsylvania. In this role, you will be involved in the Real Estate & Property industry, managing multiple transactions and assisting with the due diligence process. </p><p><br></p><p>Responsibilities:</p><p><br></p><p>• Oversee a considerable volume of transactions related to real estate.</p><p>• Collect, review, and systematize due diligence materials for both internal and external transactions.</p><p>• Work closely with the Investment and Capital Markets Teams throughout the transaction lifecycle.</p><p>• Collaborate with different internal divisions to evaluate and address operational risks.</p><p>• Promptly communicate any identified risks or issues to the deal team members.</p><p>• Suggest and convey solutions to mitigate risks discovered during the due diligence stage.</p><p>• Continuously strive to enhance understanding of processes in order to become an expert in the field.</p><p>• Coordinate with external vendors to secure necessary inspections, including surveys, PCA’s, Environmental assessments, and more.</p><p>• Undertake special tasks as required to support transaction processes.</p><p>• Utilize skills in Budget Processes, Capital Management, Commercial Real Estate Investment, Real Estate Finance, Real Estate Investments, Real Estate Transaction, and Yardi software.</p> Senior Accounting Manager <p>New Jersey manufacturer seeks a Senior Accounting Manager with proven M& A activity/integration expertise. This role will be responsible for managing the month end process, creating financial reporting schedules, assisting with the quarterly/annual auditing process, reviewing journal entries, preparing balance sheet reconciliations, ensuring compliance with GAAP/IFRS, developing financial growth strategies, maintaining the general ledger, overseeing daily accounting operations, and identifying opportunities for process improvements and system enhancements. We are looking for a Senior Accounting Manager with solid tax compliance and reporting skills, excellent communication and interpersonal skills, strong understanding of GAAP standards, and the capacity to multi-task while meeting crucial deadlines.</p><p><br></p><p>What you get to work on daily</p><p>·      Prepare and review financial statements, ensuring compliance with GAAP</p><p>·      Develop and implement internal controls</p><p>·      Analyze financial data and present reports to senior management</p><p>·      Support budgeting, forecasting, and financial planning processes</p><p>·      Review contracts for revenue recognition </p><p>·      Coordinate and manage the month-end/year-end process</p><p>·      Lead, mentor, and develop accounting staff</p> Treasury Analyst <p><strong>Treasury Analyst </strong></p><p> </p><p>A client of ours is looking for a Treasury Analyst to support treasury operations through daily cash management, liquidity analysis, and financial risk oversight. This role is essential to maintaining optimal cash positioning and compliance with internal financial controls while collaborating across departments to support corporate financial strategies.</p><p><br></p><p><strong>Responsibilities of Treasury Analyst </strong></p><ul><li>Monitor and manage daily global cash positioning</li><li>Support cash forecasting and ensure adequate liquidity</li><li>Manage banking relationships and oversee account administration</li><li>Execute and record intercompany funding and bank transfers</li><li>Maintain and reconcile cash activity records</li><li>Assist with debt compliance and interest/covenant reporting</li><li>Support FX exposure analysis and hedging activities</li><li>Collaborate with Accounting, FP& A, and others on treasury matter</li><li>Ensure treasury compliance with policies and audit standards</li><li>Participate in treasury system enhancements and process improvements</li></ul> Financial Planning Analyst <p>We are seeking a Financial Planning Analyst based in Philadelphia, Pennsylvania. The role involves providing support to our client's advisory team, focusing on the wealth management and financial planning needs of their clients. The successful candidate will be responsible for daily account administration, investment proposal preparation, and performance review, along with assisting in preparing deliverables that cover all areas of Financial Planning.</p><p><br></p><p>Responsibilities:</p><p><br></p><p>• Compile reports on portfolio performance on a regular basis</p><p>• Monitor and update client asset allocations</p><p>• Conduct due diligence on investment mutual funds, ETF's, separate account managers, and hedge funds</p><p>• Prepare and coordinate materials for client meetings</p><p>• Compile quarterly tax projections</p><p>• Handle account creation and maintenance </p><p>• Manage money movement including wire transfers and journals</p><p>• Maintain and update the database regularly</p><p>• Conduct ad hoc project management </p><p>• Assist in portfolio performance updates</p><p>• Provide operational functions to support the Partners and their team. </p><p><br></p><p>Skills: </p><p><br></p><p>• Annual Financial Plan</p><p>• Financial Planning</p><p>• Financial Reconciliation</p><p>• Financial Services</p><p>• Personal Financial Specialist</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 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> Lease Admin Sr Analyst We are in search of a Lease Admin Sr Analyst to join our team. This role is based in Toms River, New Jersey, and offers a contract to permanent employment opportunity. As a Lease Admin Sr Analyst, you will be tasked with maintaining the integrity of our large and complex real estate portfolio data. Your role will encompass processing customer applications, maintaining accurate records, and dealing with customer inquiries. Moreover, you will be responsible for monitoring customer accounts and taking appropriate actions when necessary. <br><br>Responsibilities<br>• Ensure the accuracy and integrity of the real estate portfolio data.<br>• Process and reconcile Accounts Payable (AP) and other financial transactions.<br>• Uphold a working relationship with clients and/or landlords, resolving any critical issues that arise.<br>• Lead the lease administration team, providing work flow direction and account supervision.<br>• Maintain accurate customer credit records and process customer credit applications efficiently.<br>• Prepare lease abstracts and edit them for accuracy, while also preparing and distributing periodic and ad hoc reports in a timely and accurate manner.<br>• Track payables and receivables associated with the leases in the portfolio, preparing invoices for subtenants and reconciling subtenant accounts.<br>• Perform annual operating expense reconciliations and monitor audit windows and audit requirements contained in the lease documents.<br>• Conduct research and analysis on payment transactions, lease terms, and other relevant items.<br>• Utilize various report writers, Excel, Word, and/or Access for report design and review standard reports prepared by team members for accuracy. Senior Manager of Accounting <p>A multi-billion dollar services company located near Sayreville, NJ, is looking for a Senior Manager of Accounting. This is a hybrid opportunity.</p><p>• Manage and coordinate financial reporting and accounting for certain portfolios inclusive of audited and unaudited financial statements, general ledger closings and transaction processing.</p><p>• Perform ad-hoc analysis and special projects as required.</p><p>• Primary interface with external audit team to facilitate completion of financial statement audits in a timely and accurate manner.</p><p>• Keeps accounting management informed on issues within the assigned areas of responsibility and supplies support for any financial data request.</p><p> </p><p> </p> Treasury Analyst <p>We are offering a long-term contract employment opportunity for a Treasury Analyst in EXTON, Pennsylvania. The Treasury Analyst will be an integral part of our team, focusing on monitoring our investment portfolio, providing recommendations to management, maintaining records, and conducting cash flow analysis. This role is also responsible for servicing and reporting on purchased and sold loan portfolios for both General Ledger (GL) and Asset-Liability Committee (ALCO) purposes. </p><p><br></p><p>Responsibilities </p><p><br></p><p>• Monitor our investment portfolio actively and provide recommendations based on researched data from broker material and Bloomberg analysis</p><p>• Liaise with brokers for research and execution of bond purchases and sales</p><p>• Maintain comprehensive records on bonds held, ensuring compliance with internal policy and regulatory requirements</p><p>• Conduct in-depth cash flow analysis to ascertain expected cash position and provide efficient usage recommendations of available cash to management</p><p>• Update forecasts to Financial Planning & Analysis (FP& A) on a monthly basis</p><p>• Generate a Peer Report for Senior Management quarterly</p><p>• Understand Asset and Liability Management (ALM) concepts and their impact on investments and the overall balance sheet</p><p>• Manage non-member deposits, including both short term and long-term forecast</p><p>• Handle servicing and reporting of purchased and sold loan portfolios for GL and ALCO purposes</p><p>• Understand Funds Transfer Pricing (FTP) concepts and their impact on investments</p><p>• Perform other duties as assigned</p> Treasury Analyst <p>Robert Half is hiring for a Treasury Analyst in the Middlesex County, NJ area. As a Treasury Analyst, you'll play a vital role in managing banking operations and ensuring compliance with Know Your Customer (KYC) regulations. </p><p><br></p><p>Responsibilities:</p><p><br></p><p>• Oversee the creation of bank accounts in local currencies, ensuring all KYC information is accurately provided.</p><p>• Coordinate the integration of these new bank accounts into our existing Treasury applications.</p><p>• Collaborate with Accounting to provide necessary information to Oracle for bank accounts associated with entities other than our organization.</p><p>• Work alongside Tax, Legal & Compliance departments to verify bank accounts are opened under the correct entity.</p><p>• Facilitate the opening of merchant account processing in other countries as needed.</p><p>• Conduct research on purchasing card programs in other currencies when required.</p><p>• Ensure effective verbal communication regarding Treasury and banking services with Volunteers and internal staff members.</p><p>• Maintain strong written communication with Volunteer Treasurers and internal staff via email regarding Treasury and banking services.</p><p>• Exhibit strong analytical skills with a focus on accuracy and timeliness.</p><p>• Demonstrate attention to detail and a commitment to meeting deadlines.</p> Accounting Manager <p>Growing Non-Profit located in the King of Prussia Area is looking to hire a full-time Senior Accountant with strong knowledge of state, federal and sales tax laws, experience closing the monthly/annual books, building budgets, forecasting, working with auditors, and completing AR/AP activities. As the Senior Accountant, you will also oversee the general ledger system, assist with preparing accruals, support tax compliance, complete bank reconciliations, draft financial reports, coordinate the month end/year end close, review bank reconciliations, prepare data for monthly journal entries, perform account reconciliations, assist with the annual audit process, maintain financial records, and perform financial analysis as needed. The successful candidate for this role will have sharp analytical skills, excellent time management abilities, and strong written and verbal communication skills.</p><p> </p><p><strong>How you will make an impact</strong></p><p>·      Implement revenue generating control systems</p><p>·      Prepare monthly financial statements</p><p>·      Complete month close general ledger activities</p><p>·      Interpreting and reporting financial data</p><p>·      Review loan investments</p><p>·      Budgeting & Forecasting</p><p>·      Internal/External Audits</p><p>·      Assist with tax filing/compliance</p><p>·      Perform account reconciliation</p> Senior Manager, Finance, Pharma Gross to Net <p>We are seeking a highly skilled Senior Manager, Gross-to-Net (GTN) to join a leading pharmaceutical company. This pivotal role focuses on managing gross-to-net operations, including revenue recognition, pricing analysis, forecasting, and ensuring compliance with industry regulations such as Medicaid Drug Rebate Program (MDRP) and 340B. The ideal candidate must have a CPA or MBA and at least 5+ years of hands-on GTN experience in the pharmaceutical or life sciences industry, with expertise in managing rebates, chargebacks, copay programs, and accrual processes. </p><p><br></p><p><strong>Responsibilities include:</strong></p><ul><li>Partnering with cross-functional teams, streamlining GTN processes with automation tools, ensuring audit readiness, and driving process improvements to enhance accuracy and scalability. </li><li>Proficiency in systems such as SAP, advanced Excel skills, Vistex, and leadership experience in matrixed organizations will be key to success. </li></ul><p>This is an exciting opportunity to make a significant impact within a rapidly growing organization at the forefront of pharmaceutical innovation<strong>. </strong>To apply please email a resume in a Word format to Pam Lim at Pam.Lim@roberthalf.</p><p><br></p> Director of Accounting/Sr. Accountant <p>One of our non-profit clients is looking to staff a Director of Accounting/Sr. Accountant with proven US GAAP knowledge. This Director of Accounting/Sr. Accountant will conduct variance analysis and provide insights into financial performance, oversee the month end close process, monitor expense accruals, assist with fixed assets, maintain & resolve general ledger discrepancies, create solutions for process improvement, monitor cash flow, ensure compliance with local tax requirements, manage journal entry tracking, and assist with the financial planning process. If you hold a high level of financial modeling skills, have strong technical accounting abilities, and can safeguard company assets, this may be the role for you!</p><p><br></p><p>What you get to do everyday</p><p>·      Oversee month-end/year-end close process</p><p>·      Budgeting & Forecasting</p><p>·      Provide profit and loss reporting</p><p>·      Bank Reconciliations</p><p>·      Fixed Assets</p><p>·      Manage revenue recognition</p><p>·      Process Improvement</p><p>·      Assist with the annual audit process</p><p>·      Cash Management</p><p>·      Provide management with monthly reports</p><p>·      Ensure compliance with external/internal controls</p> Chief Accounting Officer <p>We are providing an exciting opportunity in the Real Estate Property/Facilities Management industry, specifically for the role of a Chief Accounting Officer. This role is based in the HORSHAM, Pennsylvania area. As a Chief Accounting Officer, you will be entrusted with the responsibility of managing all financial reporting, setting and maintaining accounting standards, leading a sizable team, and providing ongoing accounting support to the senior management team. </p><p><br></p><p>Responsibilities:</p><p>• Lead and manage a team of professionals, focusing on accounting functions</p><p>• Implement new accounting pronouncements and developments as per the organization's requirements</p><p>• Establish, maintain and improve policies and procedures to ensure accurate and timely preparation of financial information</p><p>• Oversee the preparation of financial reports on a monthly, quarterly, and annual basis</p><p>• Provide comprehensive accounting support to the senior management team</p><p>• Play a pivotal role in the accounting for capital transactions</p><p>• Ensure accurate auditing and budget processes are in place</p><p>• Oversee tax accounting to ensure compliance with relevant laws and regulations</p><p>• Utilize your knowledge of Commercial Real Estate and Corporate Real Estate for the benefit of the organization</p><p>• Ensure clear and effective communication both written and oral, with internal and external users of financial information.</p> Sr. Tax Manager <p>Delaware firm seeks a Senior Tax Manager with strong knowledge of fixed assets, payroll taxes, benefits, and internal controls. Primary duties for this role will consist of overseeing the corporate tax function and compliance, managing the tax team, assisting with tax provision calculation, coordinating/reviewing the preparation of federal tax returns, create and implement strategic tax planning, manage federal/state/local tax audits, and prepare financial statement tax disclosures as needed. To be successful in this role, the Senior Tax Manager must have the ability to review and prepare complex tax returns and implement company procedures, while following current tax laws and regulations.</p><p><br></p><p>What you get to do everyday</p><p>·      Timely preparing and filing of all tax returns</p><p>·      Identify and mitigate tax risks</p><p>·      Develop tax strategies</p><p>·      Implement best practices and improvements</p><p>·      Coordinate tax audits</p><p>·      Manage and mentor members of tax team</p><p>·      Perform tax research as needed</p><p>·      Review technical tax provisions</p><p>·      Assist with gross receipts taxes</p><p>·      Track quarterly/yearly tax projections</p> Director, Accounting, Financial Reporting & Analysis <p>South Jersey, healthcare provider seeks a Director, Accounting, Financial Reporting & Analysis with healthcare expertise. This Director, Accounting, Financial Reporting & Analysis will conduct variance analysis and provide insights into financial performance, oversee the month end close process, monitor expense accruals, perform financial analysis, assist with fixed assets, maintain & resolve general ledger discrepancies, create solutions for process improvement, monitor cash flow, manage journal entry tracking, and assist with the financial planning process. If you hold a high level of financial modeling skills, have strong technical accounting abilities, and can safeguard company assets, this may be the role for you!</p><p><br></p><p>What you get to do everyday</p><p>·      Oversee month-end/year-end close process</p><p>·      Budgeting & Forecasting</p><p>·      Fixed Assets</p><p>·      Bank Reconciliations</p><p>·      Provide financial analysis</p><p>·      General Ledger Activities</p><p>·      Cash Inventory</p><p>·      Assist with the annual audit process</p><p>·      Recommend profitable initiatives </p><p>·      Provide management with monthly reports</p><p>·      Ensure compliance with external/internal controls</p>