- TE Connectivity (Berwyn, PA)
- …reports 6. Calculate and record tax impacts and income tax account reconciliations related to quarterly consolidated restructuring accruals, collaborating ... with TE Corporate Accounting and Transfer Pricing team members. 7. Responsible for executing, documenting, and revising when needed, all income tax-related financial controls for Sarbanes-Oxley Section 404 purposes for respective responsibilities 8.… more
- Hilton (Dallas, TX)
- …building supplies, revisions and alterations + Review and approve all ledger account reconciliations including, but not limited to, bank statements, assets ... liabilities and credit cards + Coordinate and review monthly financial statements for accuracy and monitor coding of cash receipts + Assist Director with internal daily audits of cash deposits, transfers and preparation for and monitoring of the capital budget… more
- NCR Atleos (Atlanta, GA)
- …capital requests for supported Infrastructure groups as needed. + Complete all assigned account reconciliations in a timely manner to ensure compliance with ... policies and procedures and US GAAP. Identify and execute action items to resolve reconciliation variances in a timely matter. + Ensure complete and accurate financial processing is performed; identify and analyze potential financial issues / risks. Maintain… more
- Robert Half Finance & Accounting (Portland, OR)
- …* Execute month-end and year-end closing processes, including journal entries, account reconciliations , and expense analysis. * Provide support for ... internal and external audits, offering insights and actionable recommendations to improve operational procedures. * Identify and implement process improvements to enhance efficiency and support automation initiatives. * Act as a financial advisor to business… more
- Broadridge Financial Solutions (New York, NY)
- …and Procurement) + Review and approve Corporate segment journal entries and account reconciliations + Work closely with the Senior Director, Corporate ... Segment Controllership and Technology FP&A teams to provide accounting insights around hardware/software licensing arrangements as well as Data Centers and impact on accounting treatment. + Partner with Center of Excellence (COE) teams to ensure continuous… more
- Utilities Service, LLC (Willow Grove, PA)
- …of FP&A processes including bottom-up planning, scenario modelling, allocations, account reconciliations , intercompany eliminations, currency translation, and ... top-side adjustments **Benefits** We offer a competitive range of benefits to support our employees' health, well-being, and financial security. Medical, dental, and vision benefits are available to all eligible employees on the first day of employment. For… more
- Robert Half Finance & Accounting (Napa, CA)
- …business decisions. + Consolidate financial results across multiple entities. + Oversee account reconciliations and ensure accuracy across all ledgers. + Manage ... select California and TTB compliance reporting, and coordinate with outside consultants as needed. + Supervise, mentor, and inspire a small accounting team. + Manage banking relationships, reporting, and compliance requirements. + Implement and refine… more
- Edwards Lifesciences (Irvine, CA)
- …a monthly, quarterly and annual basis including preparation of journal entries, account reconciliations and other analyses related to complex technical ... accounting areas. + Perform all equity accounting, including basic and diluted earnings per share calculations, stock-based compensation accounting, ESPP, and consolidated equity roll forward. + Perform derivative/hedge accounting and other technical… more
- Hubbell Power Systems (Rocky Mount, NC)
- …basis * Month end financial closing including journal entries and balance sheet account reconciliations * Ensure internal controls are being routinely measured ... for effectiveness and where necessary identify risks * Support the preparation of monthly forecasts and yearly operating plans * Perform quarter end cutoff activities * Compile monthly materials index to support indexed pricing to specific customers * Assist… more
- Family Dollar (Chesapeake, VA)
- …and filing of returns + Timely and accurate tax payments + General ledger account reconciliations + Ensure sales/use tax is effectively collected, remitted, and ... accounted for across all business units. + Ensure proper **documentation and tax treatment** for major corporate initiatives and capital projects. **Unclaimed Property** + Lead compliance efforts for unclaimed property, including accurate and timely filing and… more