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The Journey Begins with you. Theres quite a distance between wondering and knowing. And for patients waiting for answers to important health questions, its ...
This person contributes to Pepsi Beverages Co's success by performing period and quarterly closing processes for the Full Line Vending (FLV) business and Cashless ...
This person contributes to Pepsi Beverages Co's success by performing period and quarterly closing processes for the Full Line Vending (FLV) business and Cashless ...
PRIMARY RESPONSIBILITY OF POSITION: Perform periodic reconciliation of cash and other balance sheet accounts Provide support to business partners during period ...
Crowe Horwath LLP (www.crowehorwath.com) is one of the largest public accounting and consulting firms in the United States. Under its core purpose of Building ...
Financial planning and analysis managing all Corporate R&D cost centers Lead and coordinate Global R&D financial analysis Manage the period forecasting process ...
Key Finance contact on CCO Grocery Customer Sales team for DSD (Direct Store Delivery) beverage portfolio . Partner with Sales to develop accurate customer ...
General Summary: Position manages the daily and period accounting process for third party CoPackers, RePackers, and Distribution Centers. Main Responsibilities ...
The Director-Treasury Controllership is part of the American Express Global Controllership Organization. The Treasury Controllership Group plays a significant role in the external reporting for the Company including, SEC and Bank Holding Company filings, earnings releases, earnings supplements, and investor presentations/analysis. This role is responsible for ensuring appropriate and consistent accounting and reporting for the Company's investment securities, which includes on going monitoring of transactions, market activity, valuations, and accounting changes, as well as providing guidance and support to business unit controllership teams. In addition, the individual in this role will also lead other ad hoc Treasury Controllership projects. Responsibilities include: Performance of detailed analysis of investment balances as part of the quarterly closing process; preparation/review of footnotes for AXP and major legal entities' financials, review and compilation of MD&A disclosures, and detailed review of related regulatory filings. Providing ongoing subject matter expertise on accounting and reporting for investment securities in accordance with ASC 320 and ensuring fair value measurements are accurate in accordance with ASC 820. The director oversees the review of investment securities for impairment from an AXP level and provides guidance to various legal entities globally on impairment considerations. This position will work closely with Treasury's Global Liquidity, Exposure Management and Investments groups and Global Controllership's External Reporting group. The individual filling the role must also build successful relationships with business partners (e.g. Treasury, Financial Reporting, Investor Relations, Legal and Tax). Additional responsibilities include participation in various ad hoc projects, creating, updating and monitoring compliance with accounting policies in the Treasury area. The Director leads a team of one manager and will report directly to the Vice President - Treasury Controller.
EOE statement: American Express is an Equal Opportunity Employer.
Required Qualifications:
Bachelors Degree in Accounting or Finance; CPA preferred 7-10 years experience in finance and accounting, experience in both Big 4 and industry preferred Experience in Treasury/Treasury Controllership is plus Strong understanding of US GAAP and the GAAP and regulatory requirements for Bank Holding Companies, including ASC 320 and 820 Good collaborative, relationship building experience. Good communication and organizational skills. Knowledge of fixed income and equity markets is a plus