Finance Manager at Corporate Payroll Services

Here is a role for someone who enjoys clear numbers, steady structure and strong financial control. This position suits a finance professional who can guide teams, manage reporting and keep the company’s financial health in focus. It is a remote role that offers steady work, regular tasks and room to support better decision making across the organization.

The company seeks a Finance Manager who understands accounting rules, risk evaluation and solid reporting practices. You need strong planning skills, clean judgment and the ability to explain financial matters in simple terms. This role supports both day to day work and long term financial planning.

Job summary

Position: Finance Manager
Company: Corporate Payroll Services
Location: Remote
Employment: Full time or Part time
Salary Range: 75283.50 to 88620.99 dollars per year
Job Category: Finance, Accounting, Management

What the role covers

This role guides the full financial operations of the organization. You help shape financial plans, review risk points and support leaders with accurate reports. You design and manage standard accounting work such as general ledger checks, accounts payable, accounts receivable and cost tracking. You keep financial records clear and ready for audits or reviews.

You also make sure the company follows IFRS, IAS, GAAP and other required accounting rules. You support treasury functions, cash flow checks and investment reviews. In simple terms, you help the company stay stable, meet rules and plan ahead with confidence.

Main duties

Build and guide financial strategy

You develop financial plans that support growth. You help leaders pick the right steps for spending, saving and improving results. You guide teams on how to maintain clean records and lower risks.

Manage core accounting work

You watch over all accounting tasks. You make sure general ledger entries are correct. You review accounts payable and receivable. You check cost accounting entries and prepare clear reports. You make sure all numbers follow accepted standards.

Ensure compliance

You keep the company aligned with IFRS, IAS, GAAP and other rules. You prepare records for audits. You support internal controls and regulatory checks. You keep financial data clean, simple and ready for review at any time.

Handle treasury functions

You manage cash flow checks and help maintain enough liquidity. You review risks, look at investment options and guide decisions that support long term stability.

Prepare and interpret reports

You prepare clear profit and loss statements, balance sheets and cash flow reports. You explain these to leaders in simple language. You help them understand what the numbers mean and how to act on them.

Manage risk

You identify possible weaknesses in financial systems or processes. You design ways to lower risk and help the company stay secure.

Lead budgeting and forecasting

You guide the yearly budget. You help teams understand cost limits and plan with care. You update forecasts based on real performance. You ensure that departments stay within clear spending goals.

Support audits and controls

You prepare the company for audits. You guide teams on how to keep clean records and follow legal standards. You help build simple internal controls that protect the company.

Work with other teams

You support business development efforts, revenue plans and project reviews. You help teams understand ASC 606 rules when needed. You join planning sessions and help shape financial decisions that support growth.

Use financial tools

You work with ERP systems, accounting software and other tools. You help improve reporting flow through automation and clear data steps. Strong Excel skills are required.

Requirements

Background needed

You need a bachelor’s degree in finance, accounting or a related field. A CPA or CMA is helpful but not required. You must have strong experience in corporate, government or non profit accounting. You should understand IFRS, IAS, GAAP and ASC 606 rules. You need experience in risk management and compliance work.

Leadership experience is important. You must know how to guide a finance team or cross department project. You should understand ERP or accounting systems and be confident with advanced Excel functions.

You must be able to read complex financial data and explain it in plain words. You should understand budgeting, forecasting, cost control and investment review. Strong communication skills are needed.

About Corporate Payroll Services

Corporate Payroll Services supports clients across many industries with reliable payroll and financial support. The company values clear systems, straightforward work methods and long term trust. The team works fully remote for this role and provides benefits including retirement plans, health coverage, tuition support, paid time off and other employee programs.

How to apply

Submit your application here. Include an updated resume and any details that show your finance and reporting experience.

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