Cash Management Specialist, Treasury Management - AMS. The FSSC team consists of corporate financial services such as accounts payable, travel and expense, and cash management. Assisting in treasury management activities analysis and ensuring accurate output to the China HQ team.
Cash Management Specialist, Treasury Management - AMSS GAAP and possess sufficient working knowledge of taxation matters including but not limited to individual taxation, corporate taxation and related tax structures, sales taxes and property & business taxes. Well established, highly profitable regional CPA firm seeks an Accounting Manager to special
Accounting Manager - CPA Firm - Client BookkeepingServes as a technical expert in the performance of tax computations in cases with significant tax compliance issues and provides expert advice that may impact tax compliance strategy and the Appeals program as a whole. Technical Expert in Tax Computations. Serves as an issue expert in the handling o
Internal Revenue Agent (Senior Revenue Agent/Lead Tax Computation Specialist)We are seeking a motivated and analytical individual that can work well, both independently and in a team environment, to lead the Financial Accounting and Cash Management (FACM) Group in the Accounting Services Section. Lead and manage the following major functions: cash management, financial repor
Group Supervisor, Financial Accounting and Cash ManagementMaintains effective relationships with managers and employees at all levels of the Appeals organization, and with taxpayers or taxpayer representatives. Interacts with internal customers, taxpayers, and representatives to determine and meet customer expectations.
Supervisory Internal Revenue Agent - Appeals Tax Computation Team Manager (MSP)The ideal candidate will have a Bachelor’s degree in accounting or related field and 4-6 years of accounting experience, preferably with CPA certification. In this role, you will conduct cost analysis, prepare journal entries, assist with tax filings, and support annual audits. Strong knowledge of
Accounting Analyst: Cost Analysis & GAAP ExpertStrong understanding of: Financial modeling, Free Cash Flow, Working capital management, Capital expenditures and financial statement analysis. We are seeking a highly analytical and strategic Senior Finance Manager, Free Cash Flow Management within the Corporate FP&A team to lead enterprise-wide ca
Sr Finance Manager, Free Cash Flow ManagementIn this role, you will perform daily bookkeeping tasks, prepare tax returns, and ensure compliance with US GAAP. This position is a great opportunity for those looking to grow in the accounting field.
Staff Accountant GAAP, Tax & BookkeepingIn this role, you will manage key accounting functions, ensuring the integrity of financial records and timely reports. The ideal candidate will have over 5 years of experience in accounting, strong GAAP knowledge, and software proficiency.
Senior Accountant: GAAP Close & Financial AnalysisAlleviate is seeking a Treasury Analyst in Irvine to manage cash flow, forecast liquidity, and optimize treasury processes. You will work with financial data and automate treasury workflows, supporting banking relationships and policy compliance. The role emphasizes SQL-based data extraction, Excel
Strategic Treasury & Cash Flow AnalystThe role includes overseeing cash flow, preparing transactions reports, and ensuring adherence to financial regulations. A leading technology company is seeking an experienced Treasury Specialist to manage daily treasury functions. Ideal candidates should possess a Bachelor’s degree in accounting,
Treasury Specialist: Cash Flow & Reporting ProKey Responsibilities Prepare individual, C corporation, S corporation, partnership, and trust tax returns, primarily for clients in the entertainment industry Assist with tax planning and projections Prepare and assist with foreign filings including Forms 8840, 8858, 5471, 5472 , and other intern
Staff Accountant (Tax & Bookkeeping)This full-time, in-person role requires managing full-charge accounting duties and preparing complex tax returns. BERNSTEIN FINANCIAL SERVICES INC is seeking an Accountant & Senior Tax Preparer in Los Angeles, CA. With a focus on client relationships, you will contribute to a collaborative environme
Senior Tax Accountant & Bookkeeping ProA financial institution in Los Angeles or San Diego seeks a Treasury Management Officer III. The role involves providing treasury product marketing and sales support, with responsibilities including creating proposals and analyzing RFPs.
Senior Treasury Management Officer - Hybrid (LA/SD)Job Description The Senior Cash Management Analyst is responsible for the daily management of cash operations, liquidity reporting, cash forecasting, banking administration, treasury operations, and funding activities across Cedars‑Sinai Health System. The position supports cash management, short�
Senior Cash Management Analyst/Sr Treasury AnalystYou will manage corporate accounting, financial reporting, and internal controls dedicated to providing exceptional visitor experiences. The ideal candidate will possess 4-8 years of accounting experience, a CPA is preferred, and must have strong skills in GAAP accounting and Microsoft Excel. Accoun
Accounting Manager: Drive Financial Close & ControlsThe ideal candidate will possess strong communication, analytical, and relationship-building skills.This role involves developing business through strategic initiatives, ensuring alignment with stakeholders, and providing expert guidance in complex deal structuring.Competitive salary range is $57,50
Senior Treasury Advisor - Cash Management & Deals