New York-NY
The successful candidate will report to the Accounting Manager and will have interactions with all aspects of the accounting cycle including
month-end and year-end close, journal entries, financial statement review and analysis, balance sheet review and analysis, tax filings and returns, bank reconciliations, accounts payable and receivable
The major responsibility of a Bank Reconciliation Accountant is to assist in the preparation of timely and accurate bank & suspense account reconciliations
Your career with the John Hancock Financial Network begins with an intense twelve week Financial Advisor's Training Program which includes, classroom instruction, self study courses, role playing exercises and live client engagements with an experienced associate/ mentor, who will help guide you in the early stages of your career.
Counsels applicants and students on eligibility for financial aid programs, assisting them in the application process
This position requires you to conform to legal and regulatory requirements and guidelines associated with FINRA, SEC, and Chase Investment Services Corp
The International Securities Exchange (ISE) is currently recruiting a dynamic individual to join our staff as a Temporary Accountant - Accounts Payable (A/P) in our Accounting Department
They are currently in search of experienced Financial Consultants to cover existing territories. This bank has a top notch program offering great products, services and a full referral program
Answering requests from various business lines in an accurate and timely manner
The Staff Accountant will be required to access and perform duties using the mainframe system, peripheral systems and should have background using accounting applications
Handle all other communications with investors, third-party consultants/administrators, banks, custodians, accountants, attorneys and others, as necessary