Accounting Services’ mission is to provide significant support to University financial operations by maintaining central administrative systems, performing investment accounting functions, maintaining capital construction records, providing cash management services, and performing other accounting and related duties. The units within the Accounting Services department are: Cash Management including Merchant Card Services, Construction and General Accounting, Financial
In this role you will perform a wide variety of regular and recurring moderately complex accounting functions, including establishing accounting records and maintaining the general accounting system.
This position will perform the day to day activities associated with accounting for a number of hotels, such as end-of-month general ledger posting and closing activities; P&L statement preparation; monthly accruals; governmental and tax reports.
Weichert Financial Services, is actively interviewing qualified candidates for a demanding yet rewarding position as an entry-level Staff Accountant.
We’re looking for individuals who are ready to challenge conventional wisdom in the spirit of positively impacting people’s lives.
A successful candidate in this position will serve on a FRPAD team that reviews the validity of the M&O contractor’s claimed cost savings from cost reduction activities. Cost Accountant Salary range $98,633.00 to $157,789.00 / Per Year. Specialized experience for this position is defined as: Experience evaluating all aspects of a cost accounting system such
Under general supervision, responsible for complex and interpretive financial research and analysis for middle or senior management for use in the development and measurement of business strategies and tactics.
We are looking for a full-time Accountant to provide accounting services for the organization. The Accountant would work directly with and under the supervision of the Controller.
The position provides overall financial and administrative support for the Perth Amboy and Staten Island Terminals in the Northeast Region, and coordinates with Terminal Management to ensure proper financial accounting is performed and reported
This position will primarily be responsible for processing Intercompany Transactions as well as executing the month end close procedures to ensure accurate financial data