New York, NY $100,000.00-$125,000.00 1 month agoNew York, NY $135,000.00-$150,000.00 1 week agoNew York, NY $150,000.00-$180,000.00 1 month agoNew York, NY $120,000.00-$150,000.00 1 week agoAccounting Manager - Four Points Manhattan Soho - New York, NY New York, NY $135,000.00-$159,000.00 3 weeks agoNew York, NY $120,000.00-$140,000.00 3 months agoNew York, NY $100,000.00-$120,000.00 2 weeks agoNew York City Metropolitan Area 2 weeks agoNew York, NY $163,000.00-$192,000.00 1 week agoNew York, NY $105,000.00-$120,000.00 1 week agoNew York, NY $140,000.00-$150,000.00 1 month agoNew York, NY $110,000.00-$140,000.00 1 week agoNew York, NY $130,000.00-$150,000.00 1 week agoNew York, NY $96,100.00-$143,300.00 1 week agoNew York, NY $200,000.00-$250,000.00 2 days agoNew York, NY $120,000.00-$150,000.00 6 days agoNew York, NY $140,000.00-$170,000.00 1 week agoNew York, NY $200,000.00-$220,000.00 1 week agoNew York, NY $115,000.00-$125,000.00 2 weeks agoNew York, NY $180,000.00-$215,000.00 1 week agoBrooklyn, NY $135,000.00-$165,000.00 4 days agoNew York, NY $100,000.00-$120,000.00 4 weeks agoNew York City Metropolitan Area $135,000.00-$140,000.00 1 week agoNew York, NY $200,000.00-$220,000.00 1 month agoNew York, NY $125,000.00-$160,000.00 3 weeks agoNew York, NY $143,000.00-$200,000.00 2 weeks agoNew York City Metropolitan Area 3 weeks agoNew York, NY $140,000.00-$180,000.00 2 days agoNew York, NY $170,000.00-$190,000.00 3 weeks agoNew York, NY $130,000.00-$150,000.00 2 days agoNew York City Metropolitan Area 2 weeks agoWe're unlocking community knowledge in a new way. Oversee additional areas including:Credit card reconciliationsWholesale accounting and revenue recognitionStores returns reserve processFreight invoice reconciliation and capitalizationInventory-related processesSupport quarter-close activities:Q3 close in late October, with filings due November 10thPartner with team and leadership to ensure deadlines are metParticipate in a 3-week cross-training period prior to the start of parental leave (late October).Serve as a steady hand to ensure the accounting team operates smoothly and delivers reliable results during the leave period.