Accountant Career Research and Resources
Moet Hennessy-LVMH Gr.
Fixed Assets management, monthly asset depreciation Standard cost maintenance and or update and change General ledger & Inventory reconciliation Bailment & third party warehouse inventory reconciliation Month end closing and journal entries
Avg. Salary: $50,000 · Company Rank: Not Available
International Flavours & Frangrences Inc.
Corporate Capital appreciation request and Fixed Assets managements Blocked Invoices report and GRIR Reconciliation PPV Variance, Foreign Trade, Month end closing & Journal entries Financial reporting to measure performance against budget & forecasts Product costing, Manufacturing & Inventory Variances to ensure compliance Physical inventories, cut-offs & Reconciliation of results to ensure proper roll over...
Avg. Salary: $50,000 · Company Rank: Not Available
Liz Claiborne Inc.
Corporate Inventory Accounting, Perpetual and Physical Reconciliation’s Excess Piece goods and Yarn markdown, allocations and Interest charge entry. Month end closing, JE and other reports reconciliation’s. Merger & acquisition, inter company reporting & reconciliation’s
Avg. Salary: $50,000 · Company Rank: Not Available
Webcraft Inc.
Month end closing and material accruals in details Perpetual and physical inventory by location, consumption reports by plants Press room reports and cost variances, gross margin calculations Inter-company reconciliation and month end journal entries Variance calculations by Actual, Estimate and Budget for various cost centers Review plant P& L, Income statements & Balance sheet for inventory & cost model ...
Avg. Salary: $50,000 · Company Rank: Not Available
Tropic Tex Int'l-Holston
Established & entering Std. Fob, freight, duty, commission, and other charges Tracking Imports/Domestic shipments, shortage/charge-back and broker bill Capturing variances by finalizing shipments, month-end closing and accruals Yearend physical inventories and interact with auditors for review and audit Gross Profits, Sales, Cost of Goods Sold, Acct. analysis and LC reconciliation Close interaction with A/P, ...
Avg. Salary: $50,000 · Company Rank: Not Available
Bernard Chaus Inc.
Responsible for the tracking and transfer of inventory Resolved problems associated with billing, receiving and shipping Tracked raw materials, finished goods and work-in-process for domestic & oversees Saved 128K by separating a purchase order between FOB and CMT vendors
Avg. Salary: $50,000 · Company Rank: Not Available
Starbucks Coffee Company
• Variance analysis, trend analysis, and commentary on monthly results. • Production of relevant balance sheet reconciliations within month end deadlines. • Collaborating with the team members to consolidate various control accounts for monthly & quarterly review, and audit purposes. • Developing templates to support non-finance business partners understand and track their costs vs. forecast. • Developing various schedu...
Avg. Salary: $80,000 · Company Rank: Not Available
Patni Computers Ltd
• Handling the client account which is Europe’s leading mobile phone and service provider, and Patni’s largest client account. • Working with operational teams to change different processes. • Presenting and communicating Financial Health of the client Account to the Senior Management. • Liaising with operational and support teams in UK, India & USA. • Keeping a tab on the accounts receivable function. • Preparation of...
Avg. Salary: $80,000 · Company Rank: Not Available
St Martins Property Group
• Preparation of yearly financial statements for different divisions of the company. • Worked on reconciling all year end reconciliations • Prepared Audit Files for all the divisions. • Extensive liasing with KPMG on the external audit being conducted. • All other ad-hoc reports preparation pertaining to external Audit. • Preparation of P11D information for HMRC.
Avg. Salary: $80,000 · Company Rank: Not Available
Zifam Pinnacle Pty Ltd
• Preparation of monthly and yearly financial statements for the company on individual and consolidated basis. • Reconciling Asset Register and all line items in Balance Sheet on monthly and yearly basis. • Preparation of a monthly management reports including scorecards, KPIs, inventory and aged accounts’ reports, exception reports, cost/variance analysis. • Preparation of budgets on yearly basis and forecasting on quar...
Avg. Salary: $80,000 · Company Rank: Not Available