Top Accounting Jobs In NYC
As the Technical Accounting Senior Manager at Harry's Inc., you will be responsible for supporting commercial and corporate accounting teams, providing accounting guidance, leading the development of accounting policies, and assisting in decision-making processes while ensuring compliance with accounting standards. You will play a key role in the external audit process and help scale the business through complex accounting initiatives.
As a Revenue Accounting Lead at Grammarly, you will manage revenue recognition, commissions, billing, collections, cross-functional collaboration, process improvement, systems enhancement, audit preparation, and end-to-end project ownership. This role requires strong operational and technical accounting skills in a dynamic environment.
Join our dynamic Finance team in New York City as a Corporate Accountant responsible for month-end financial close, revenue recognition, regulatory compliance, and financial reporting. Ideal for detail-oriented professionals with experience in top-tier financial services or accounting firms.
Lead financial reporting and technical accounting processes, manage team, ensure compliance with US GAAP and SEC regulations, oversee internal controls, collaborate with cross-functional teams, and handle external audit relationships.
The Manager of Retail Accounting at Tapestry will oversee Ecommerce sales reconciliation, month-end close, team management, process improvements, and audit support. Requires strong communication, analytical skills, and a Bachelor's or Master's degree in Accounting or Finance.
Oversee international accounting function for multiple global entities, ensuring timely and accurate financial reporting. Build and manage international accounting team. Develop accounting policies to comply with local and US GAAP requirements. Coordinate monthly closing process and prepare financial reports. Ensure payroll compliance and manage cash disbursements. Liaise with auditors and contribute to strategic planning.
Seeking a Lease Accounting Manager to manage global data center lease obligations, maintain lease data, produce reports, and work with cross-functional teams. Responsible for post-agreement activities, managing lease portfolios, accurate recording of lease transactions, and improving processes. Requires forward-thinking approach and effective communication skills.
The Associate Director, Alliance & Royalty Accounting, is responsible for contract compliance and external accounting involving the Company's third-party alliances and licensing agreements. Tasks include royalty calculations, financial stewardship, accounting, and reporting for third-party relationships. Other responsibilities include people management, financial analysis, and compliance with Sarbanes-Oxley.
Featured Jobs
The Revenue Accounting Manager at Prove will be responsible for owning the revenue recognition process in accordance with ASC 606 and managing day-to-day commission administration. This role involves collaborating with various teams to ensure accurate financial reporting and streamline revenue accounting operations.
Assist with financial statements, SEC reporting, technical accounting, and lease accounting. Maintain accounting policies and collaborate with stakeholders. Strong analytical skills and proficiency in Microsoft Excel and NetSuite required. 4+ years of experience in accounting, including 2 years in public accounting.
The Corporate Accounting Manager, Treasury Accounting role at ServiceNow involves overseeing Treasury Accounting activities, ensuring compliant accounting for various transactions, supporting close processes, and maintaining effective global accounting policies and procedures. The role also requires forming partnerships with various teams and participating in cross-functional projects.
The Accounting Analyst at Lightpath will handle various accounting functions such as month-end close, journal entry preparation, reconciliations, and analysis. Responsibilities also include supporting financial planning, expense budgets, and audits. Qualifications require a college degree in accounting or finance, knowledge of GAAP, strong communication skills, and proficiency in Excel, Word, and Oracle is a plus.
The Accounting Manager at Bilt Rewards will be responsible for building out the accounting function, implementing best practices, overseeing financial processes, and supporting cross-functional initiatives. Key responsibilities include leading the month-end close process, supporting corporate tax initiatives, and managing payroll and accrual processes.
The Accounting Manager will support North America in SAP and Process Improvement Projects, including project management, system enhancements, and coordination with global teams. Responsibilities include leading projects, collaborating with finance teams, providing SAP training, and managing regional/global initiatives. Qualifications include a Bachelor's degree in Accounting or Finance, 6+ years of experience, strong SAP skills, and project management experience.
The Accounting Coordinator will assist the accounting department with accounts receivable cycle, collections, billing, and expense reports. Responsibilities include posting payments, overseeing collections, generating customer invoices, and managing accounts receivable. The ideal candidate should have strong customer service skills, attention to detail, and organizational skills.
Join the Fund Finance team in a role that supports the accounting and operational needs of hedge and private equity funds. Work with clients, maintain relationships with fund managers and administrators, oversee NAV packages and cash positions, and more. Requires a Bachelor's degree in Accounting and proficiency in accounting and Excel.
Manage accounting and external reporting for fixed assets at Mondelēz International. Responsibilities include overseeing fixed asset processes, coordination with various stakeholders, project management, compliance, and financial data interpretation. Requires technical expertise in accounting and fixed assets, business acumen, leadership skills, growth mindset, integrity, and judgment aligned with company values. Qualifications include a Bachelor's degree in Accounting or Finance, CPA certification, 6+ years of accounting experience, experience with financial systems like SAP and strong Excel skills, consumer packaged goods experience, and demonstrated process management and project leadership abilities.
Seeking an experienced Management Company Accountant to oversee and manage accounting and financial reporting activities for Management Company entities in the alternative investment industry. Responsibilities include financial statements preparation, compliance, cash flow monitoring, stakeholder liaison, and financial analysis to support decision-making. Requires team management, accounting qualifications, and strong analytical and communication skills.
The Accounting Specialist will be responsible for reconciling accounts, preparing journal entries, supporting month-end closure, and assisting with ad hoc accounting projects. The role requires a Bachelor's degree in accounting or a related field and at least 2 years of accounting experience. Proficiency in NetSuite and Excel is desired. The job is a hybrid role, requiring 2 days in office per week.
Strategic Finance & Accounting Lead at Chapter, responsible for FP&A, budgeting, modeling, forecasting, and overseeing key accounting processes. Partner with cross-functional teams and investors, create scalable processes, and provide data-driven guidance to Executive Leadership. Hybrid role in NYC.
The Senior Analyst will provide accounting support for the Tapestry Shared Services Retail Accounting Department. This individual will be responsible for sales audit, preparation of various journal entries, as well as the completion of daily and period-end account reconciliations.
The Corporate Finance, Revenue and Trails Analyst/Associate role at iCapital involves trail commission files, accounting and reporting responsibilities, month end close duties, accounts payable monitoring, treasury management, and ad hoc projects.
The Associate will be responsible for revenue control activities, including revenue calculations, month-end close processes, and driving innovation in revenue calculations and invoicing processes.
Seeking a talented and experienced Payroll Manager to handle end-to-end payroll processing in a multi-state company environment. Must have strong attention to detail, ability to work independently, and aptitude for improving operations. Responsibilities include preparing payroll batches, reconciling payroll instructions, processing payroll, communicating with employees, reconciling accounts, and more. Must have at least 5 years of relevant experience and be proficient in ADP, NetSuite, and Excel. Company: Fluent, Inc is a leader in customer acquisition, leveraging direct response expertise to drive engagement for leading brands. Visit https://fluentco.com/ for more information.
Work as an Associate in Private Equity Fund Accounting, supporting client leads on multiple Private Equity funds, preparing financial statements, coordinating capital calls and distributions, and managing year-end processes.
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