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Remote Cash Flow Jobs in Texas (NOW HIRING)

Controller, Remote My client located in Florida is in need of a Controller. This is a direct hire ... cash flow reporting as requested by leadership Coordinate with custodians, banks, auditors, tax ...

Post Closing Specialist

Dallas, TX ยท Remote

$95K - $105K/yr

... cash flow, counterparty confidence, and risk management. The role operates fully post-close, with ... This is a full-time remote role. Key Responsibilities * Own end-to-end delivery of funded loans ...

Post Closing Specialist

Austin, TX ยท Remote

$95K - $105K/yr

... cash flow, counterparty confidence, and risk management. The role operates fully post-close, with ... This is a full-time remote role. Key Responsibilities * Own end-to-end delivery of funded loans ...

... remote role. Our Core Values At iGrafx, we believe in our people and what they represent. To that ... Lead the weekly accounting operations cadence for senior management including: weekly cash flow ...

Post Closing Specialist

Houston, TX ยท Remote

$95K - $105K/yr

... cash flow, counterparty confidence, and risk management. The role operates fully post-close, with ... This is a full-time remote role. Key Responsibilities * Own end-to-end delivery of funded loans ...

Remote based in San Antonio, TX About Us At Alonso & Alonso, we provide personalized attention and ... Ensure the timely preparation of income statements, balance sheets, cash-flow statements ...

All Central Region Service Lines Remote The Director, Revenue Cycle - Central Region is a senior ... Monitor payer performance and identify trends affecting reimbursement and cash flow. * Establish ...

$101K - $102K/yr

This can be a remote position in any existing and/or potential Federal customer location, with the ... Achievement of program revenue, margin, utilization, and cash-flow objectives. * Effective ...

Senior Program Manager

Houston, TX ยท On-site +1

$110K - $111K/yr

Our long-life, balanced portfolio combines significant cash flow from stable production with a deep ... In-office work environment with a possible opportunity for remote work as needed * Up to 10% travel ...

Remote (U.S.) -- Central or Eastern Time Zone required Engagement Type: Contract, through end of ... Manage cash flow monitoring and forecasting across the organization * Manage and reconcile multiple ...

Associate - Financial Advisory Services

Dallas, TX ยท On-site +1

$114K - $125K/yr

Perform cash flow forecasting, liquidity analysis, and short-term cash management assessments (13 ... Remote roles will also have the opportunity to come together in our offices for moments that matter.

Associate - Financial Advisory Services

Dallas, TX ยท On-site +1

$114K - $125K/yr

Perform cash flow forecasting, liquidity analysis, and short-term cash management assessments (13 ... Remote roles will also have the opportunity to come together in our offices for moments that matter.

AI Engineer

Houston, TX ยท On-site +1

Our long-life, balanced portfolio combines significant cash flow from stable production with a deep ... Potential exposure to remote and high-risk environments, requiring adherence to safety protocols.

This position may be eligible for remote work in select geographic locations, subject to approval ... Evaluates asset or customer's cash flow, balance sheet, long-term business plans, and other ...

This position may be eligible for remote work in select geographic locations, subject to approval ... Performs basic financial analysis, such as cash flow and collateral analysis. * Researches/responds ...

This position may be eligible for remote work in select geographic locations, subject to approval ... Evaluates asset or customer's cash flow, balance sheet, long-term business plans, and other ...

Showing results 21-40

Remote Cash Flow information

What is a remote cash flow?

A Remote Cash Flow job typically involves managing and monitoring the movement of money in and out of a business while working from a remote location. Professionals in this role are responsible for tracking income and expenses, forecasting future cash needs, and ensuring that the business maintains a healthy financial position. They may also prepare reports, analyze financial data, and recommend strategies to optimize cash flow. This position is important for maintaining the financial stability and efficiency of a business, particularly for companies that operate virtually or have distributed teams.

What are some common challenges faced by professionals managing cash flow remotely, and how can they be overcome?

Remote cash flow professionals often encounter challenges such as delayed access to real-time financial data, coordinating with cross-functional teams in different locations, and maintaining effective communication with stakeholders. To overcome these obstacles, it's important to leverage cloud-based accounting software, establish clear processes for data sharing, and schedule regular virtual check-ins with team members. Proactively addressing these issues can help ensure accuracy in cash flow forecasting and strengthen collaboration, even in a remote work environment.

What are the key skills and qualifications needed to thrive as a remote cash flow analyst, and why are they important?

To excel as a Remote Cash Flow Analyst, you need strong analytical skills, a solid understanding of accounting principles, and a degree in finance, accounting, or a related field. Familiarity with financial modeling software, Microsoft Excel, and ERP systems like SAP or Oracle is typically required. Attention to detail, effective communication, and problem-solving abilities are crucial soft skills for remote collaboration and accurate reporting. These competencies ensure precise cash flow forecasting and management, which are vital for an organization's financial stability and decision-making.

What is the difference between Remote Cash Flow vs Remote Accounts Payable Specialist?

AspectRemote Cash FlowRemote Accounts Payable Specialist
Primary RoleManaging and forecasting company cash flow, ensuring liquidityProcessing and managing outgoing payments to vendors and suppliers
Required SkillsFinancial analysis, cash management, Excel proficiencyInvoice processing, vendor communication, accounting software
Work EnvironmentFinance or accounting departments, remote or office-basedFinance or accounting teams, remote or office-based
CertificationsBasic accounting or finance certifications helpfulBookkeeping or accounting certifications preferred

While both roles are finance-related and may be remote, Remote Cash Flow focuses on managing overall cash liquidity and forecasting, whereas Remote Accounts Payable Specialist handles specific outgoing payments. Understanding these differences helps in choosing the right career path or job search focus.

What are the most commonly searched types of Cash Flow jobs in Texas?

The most popular types of Cash Flow jobs in Texas are:

What cities in Texas are hiring for Remote Cash Flow jobs?

Cities in Texas with the most Remote Cash Flow job openings:

Infographic showing various Remote Cash Flow job openings in Texas as of August 2026, with employment types broken down into 55% Full Time, 43% Part Time, and 2% Contract. Highlights an 97% Physical, 1% Hybrid, and 2% Remote job distribution.

Vice President of Financial Planning and Analysis

Comprehensive Breast Care Center Inc. dba Solis

Addison, TX โ€ข On-site, Remote

Full-time

Medical, Dental, Vision, Retirement, PTO

Posted 28 days ago


Job description

Vice President of Financial Planning and Analysis

Looking to elevate your career? Join us!

Work Location:Remote with onsite as needed

Work Hours:Full Time

The Vice President, FP&A is a senior leadership role responsible for driving financial strategy, planning, and analysis to support the organization's long-term goals. Reporting directly to the CFO, this role oversees the FP&A team, ensuring the delivery of accurate forecasting, financial modeling, and strategic decision support. The Vice President, FP&A focuses on optimizing cash flow, managing financial risks, and providing actionable insights to enhance profitability and growth. Additionally, this role emphasizes cross functional collaboration, process improvements, and the development of high-performing financial teams to align financial strategies with business objectives.


Here is what you will need:

  • Ideal candidate will have at least 10+ years of finance and accounting experience and possesses "academy training" from professional services, including but not limited to Public Accounting, Investment Banking, etc.
  • Prior Private Equity experience or Private Equity-backed company is preferred.
  • Prior management experience within the healthcare industry is required.
  • Ability to excel in working cross functionally and understands the true top-down and bottom-up impacts of strategic change to a business. They are also adept at communicating those cross-functional insights and recommendations on financial performance focusing on KPI's, trends and M&A activity to senior stakeholders.
  • Must have demonstrated success in leading teams, both directly and indirectly. The candidate must be a player/coach, with the ability to be hands-on.
  • Strong experience leading and building financial models within a complex and growing environment.
  • Experience with analytics / business intelligence tools, creating a process to define "one version of the truth."
  • Possess the presence, both verbally and written, to inspire confidence in both internal and external stakeholders. Experience in Board material preparation and presentation is required.

A Day in the Life of a Vice President of Financial Planning and Analysis:

  • Provide services and support for the following areas:
    • Financial Planning and Strategy: Develop and execute financial strategies aligned with the company's goals and objectives, including creating budgets, forecasts, and financial plans to support business growth and profitability.
    • Financial Reporting: Ensure accurate and timely financial reporting in compliance with regulatory requirements and accounting standards. Prepare financial statements, management reports, and analysis to provide insights into the company's financial performance.
    • Risk Management: Identify and assess financial risks and implement strategies to mitigate them. This includes managing cash flow, credit, and liquidity risks, as well as ensuring compliance with financial regulations and internal controls.
    • Treasury Management: Manage the company's cash flow, investments, and banking relationships. Optimize working capital and liquidity management to support operational needs and strategic initiatives.
    • Financial Analysis: Conduct financial analysis and modeling to support decision making processes. Evaluate investment opportunities, pricing strategies, and cost saving initiatives to maximize profitability and shareholder value.
    • Leadership and Team Management: Provide leadership and guidance to the FP&A team, fostering a culture of collaboration, accountability, and continuous improvement. Develop talent and build a high-performing team.
    • Strategic Partnerships: Collaborate with other departments and senior leadership to support strategic initiatives and business development efforts. Provide financial insights and guidance to help drive growth and profitability.
    • Continuous Improvement: Drive process improvements and efficiency initiatives within the finance function. Implement best practices and technologies to streamline financial operations and enhance reporting capabilities.


Why Solis Mammography?

  • A Great Place to Work, earning this prestigious award for multiple years running.
  • Offer competitive benefits such as Medical, Dental, Vision, 401k, PTO, Paid Holidays, Backup Child/Adult Care as well as other unique benefits.

At Solis Mammography, we save lives. We shape the future of women's health. We are empowered, appreciated, and part of something bigger. Together, we deliver compassionate, exceptional care. Every patient. Every time.

Our patient-focused culture is at the heart of every interaction. We deliver the care, compassion and high-touch experience that have made us a valued healthcare partner to the generations of women that we serve. As the nation's leader in breast health services, our commitment to providing excellence in patient care is realized at every level of our organization.