- New York Genome Center (New York, NY)
- …and developing of multi-million-dollar budgets, implementation of strategic business plans, treasury management , investments, and debt and insurance activities. ... payroll, tax planning and filings, internal and external financial reporting, cash flow management , budgeting, procurement, grants accounting (pre-and… more
- Scotiabank (New York, NY)
- …Scotiabank. We support Small Business, Commercial and Corporate clients with effective treasury management solutions coupled with a best-in-class service model, ... on managing operational risks associated with Mortgage Capital Markets, Cash Management , Fraud and Reputational Risk. +...The senior manager will collaborate closely with the team's Director and Group Operational Risk team to identify and… more
- Warner Music Group (New York, NY)
- …Experiences, E-Commerce & Retail, and Audience Strategy. **Your role:** Reporting to the Director of Finance, Artist and Fan Experiences, this position is a key ... Accounting, IT, Legal and Business Leads responsible for the management of the portfolio of businesses under the artist...year + Prepare, analyze and submit the monthly corporate cash consolidation files + Financial deal modelling + Prepare… more
- CBRE (Melville, NY)
- …+ Review periodic P&L calculations at the fund and investor levels. + Handle the treasury and cash management function. + Review system prepared reports and ... an exciting and growing environment. Contributors in this role assist the Director in coordinating fund reporting by working collaboratively to prepare and review… more
- St. George's University (Great River, NY)
- …Accountant provides vital support to the Business Office and the Accounting Director in the preparation of financial statements and reports that accurately reflect ... and income statement accounts, including supporting documentation. + Prepare monthly cash reporting, including required reports for the Department of Education. +… more