Specifically, they specialize in a wide variety of services related to fixed assets, such as: Assisting Clients with annual and interim cost recovery computations, including computing depreciation and gain/loss to support federal and state returns; Preparing state tax depreciation schedules and rela
Tax Manager - DART (Depreciation Analysis and Reporting Tool)Knowledge of fundamental concepts, practices and procedures of Accounting and/or Accounts Receivable processing techniques. And at least 3 years of Accounts Receivable or general Accounting experience or any equivalent combination of experience, education, and/or training approved by Human Resources
Accounts Receivable SpecialistQualifications Required Ability to perform job responsibilities within a hybrid work model that requires US Tax professionals to co-locate in person 2-3 days per week Limited immigration sponsorship may be available 3+ years' experience in federal partnership tax compliance or tax compliance for inv
Tax Senior - PSG - Investment Management Reporting SolutionsPresent cash flow statement and review variance analysis with senior management. Providing accounting and financial reporting guidance and support to other corporate accounting/finance teams. Preparing detailed variance analysis of cash flow statement line items.
Cash Flow Reporting AnalystComplete daily reports and review account activity to ensure compliance with firm policies and industry regulations. Be the first line of support for branch teams-answering questions and resolving client account activity. Familiarity with basic accounting principles and office procedures.
Cash Management Associate - Client Experience & Operations