Senior Accountant- Client Accounting Services Core Financial OutsourcingSenior Accountant- Client Accounting ServicesDoylestown, PACore Financial Outsourcing is a growing accounting and advisory firm supporting businesses across multiple industries with bookkeeping, accounting, tax, and consulting services. We are seeking a Senior Accountant to support multiple client engagements and play a key role in delivering accurate financial reporting and accounting support.
Staff Accountant, Accounts Payable Job Details | Olympus Corporation Of The Americas OlympusStaff Accountant, Accounts Payable Job Details | Olympus Corporation Of The AmericasCenter Valley, PAOlympus Corporation of the Americas, a wholly owned subsidiary of Olympus Corporation, is headquartered in Center Valley, Pennsylvania, USA, and employs more than 5,200 employees throughout locations in North and South America. Prepares various vendor account analyses by reviewing invoices/transactions within the vendor account to ensure accurate activity within the account to address and resolve GR/IR and other issues.
Advisory | Accounting | Audit | Tax | Payroll Itc WorldwideAdvisory | Accounting | Audit | Tax | PayrollPhiladelphia, PennsylvaniaUnderstand clients' needs and expectations, their business and industry, accounting and control systems, employees, company values, and industry-related GAAP and GAAS issues. ITC Worldwide Advisors, LLP is a rapidly growing, modern provider of professional services to the middle market, operating globally.
NewSupervisor, Accounting Services Core Financial OutsourcingSupervisor, Accounting ServicesDoylestown, PAUnlike traditional firms, we engage with a wide range of clients across various industries, providing a broad scope of responsibilities and a diverse work experience. Serve as a primary advisor for a varied client base, providing customized solutions and high-level accounting services.
Accounting Clerk Pennmark Management CompanyAccounting ClerkPlymouth Meeting, PennsylvaniaProvide bilingual support in written and verbal communication with customers, vendors, and internal teams. Prepare bank deposits and support monthly, quarterly, and year-end close processes.
Accounting Clerk Target Property Management CopAccounting ClerkMarlton, NJFull timeThis is a great opportunity to grow your accounting career within a dynamic property management environment where your organizational skills and financial accuracy will make a real impact. We pride ourselves on delivering exceptional service to our clients and maintaining a professional, supportive work environment where employees can thrive.
NewSenior Accountant, Fiduciary Accounting Aon PlcSenior Accountant, Fiduciary AccountingPARemote$80,000–$92,000 / yearThe successful candidate will play an important role in supporting audit-ready documentation, timely issue resolution, and strong financial controls while building trusted relationships with Controllership, Treasury, Operations, IT, and other business partners. Monitor fiduciary suspense accounts, identify root causes of unmatched activity, and recommend actions to reduce recurring suspense items and manual journal entries.
Accounting Specialist AramarkAccounting SpecialistPhiladelphia, PAThe Accounting Specialist is responsible for analyzing information, maintaining accurate records, assisting with accounting duties, and provide timely, courteous responses to inquiries or complaints from clients, vendors, and lenders. So, no matter what youre pursuing - a new challenge, a sense of belonging, or just a great place to work - our focus is helping you reach your full potential.
Senior Associate, Client Accounting Services - Family Office Baker Tilly Advisory Group, LPSenior Associate, Client Accounting Services - Family OfficePhiladelphia, PennsylvaniaResponsible for providing multiple clients with a variety of accounting and administrative services, including but not limited to: Responsibility for the full accounting processes, i.e. maintaining the general ledger, generating and posting all journal entries in a timely manner, coordinating monthly close, maintaining budgets and reporting on budget to actual, and preparing monthly/quarterly financial statements with related workpapers. Baker Tilly Advisory Group, LP and Baker Tilly US, LLP, trading as Baker Tilly, are independent members of Baker Tilly International, a worldwide network of independent accounting and business advisory firms in 141 territories, with 43,000 professionals and a combined worldwide revenue of $5.2 billion.
NewAccounts Receivable Coordinator DVL Group, Inc.Accounts Receivable CoordinatorBristol, PAAbility to learn and then eventually support the Senior Accountants including preparing and filing sales and use tax returns, ensuring multi-state compliance, reconciling tax accounts, managing exemption certificates, assisting with audits, maintaining tax systems, researching taxability, and resolving tax-related issues. The Accounts Receivable Coordinator handles cash applications and works with the Accounting Team and Sales Department assisting with customer contracts, resolving account discrepancies and AR collections.
Accounting & Procurement Coordinator TheMasonGroupAccounting & Procurement CoordinatorBuckingham, PennsylvaniaIf you are looking for a stable career with an organization that values its employees, offers excellent work life balance, provides opportunities to learn new skills, and promotes long term professional growth, we would love to hear from you. For decades, the company has built a reputation for delivering high quality products through innovative manufacturing processes while maintaining long standing customer relationships across the medical, automotive, industrial, and specialty packaging industries.
Accounting & Reporting Specialist GTTAccounting & Reporting SpecialistConshohocken, PAWorking within the Group Financial Controlling team, the specialist supports financial steering and reporting processes that help enable long-term profitable growth and business transformation while ensuring compliance with global frameworks and local regulatory requirements. Prepare, review, post, and reconcile journal entries including costs, revenues, accruals, intercompany charges, treasury-related tasks, and functional adjustments.
NewAccounting Manager - Real Estate EisnerAmperAccounting Manager - Real EstatePhiladelphia, PAOur team provides outsourced accounting and Controller services for a variety of clients including subsidiaries and joint ventures of Fortune 100 companies, public companies, professionally funded businesses and Fund management companies. Our clients are enterprises as diverse as sophisticated financial institutions and start-ups, global public firms, and middle-market companies, as well as high net worth individuals, family offices, not-for-profit organizations, and entrepreneurial ventures across a variety of industries.
Service Delivery Center - EY Comply - Fund/Private Equity Accounting - Senior Ernst & Young Global LtdService Delivery Center - EY Comply - Fund/Private Equity Accounting - SeniorPA$67,600–$138,000 / yearIf you have a disability and either need assistance applying online or need to request an accommodation during any part of the application process, please call 1-800-EY-HELP3, select Option 2 for candidate related inquiries, then select Option 1 for candidate queries and finally select Option 2 for candidates with an inquiry which will route you to EY's Talent Shared Services Team (TSS) or email the TSS at ssc.customersupport@ey.com. Our focused model and bold ambition have put us at the center of the events that continue to reshape and redefine our industry, working side by side with a range of clients from our most venerable institutions to dynamic new entrants across Banking and Capital Markets, Wealth and Asset Management, Insurance, and Real Estate, Hospitality and Construction.
Associate, REIT Fund Accounting, PFS - Princeton, NJ BlackRock IncAssociate, REIT Fund Accounting, PFS - Princeton, NJPrinceton, NJ$95,000–$127,500 / yearWe manage various strategies across the capital structure, including privately negotiated senior debt; privately negotiated junior capital solutions in debt, preferred and equity formats; liquid credit including syndicated leveraged loans, collateralized loan obligations and high yield bonds; asset-based finance and real estate. BlackRock and HPS have formed a new private financing solutions business unit ("PFS") led by Scott Kapnick, Scot French, and Michael Patterson, creating an integrated franchise with approximately $370 billion in client assets, including $205 billion of private credit assets.[ii]
NewAccounting Clerk Integer Holdings CorpAccounting ClerkQuakertown, PAOur compensation program includes base wages, a cash-based incentive program supporting our pay-for-performance philosophy, overtime pay, shift differentials, and call-in pay, when applicable. By living according to a common set of values, we create a culture that unifies, embraces the uniqueness we all bring to the company, and positions Integer for long-term success.
Associate Director, Fund Accounting Aztec GroupAssociate Director, Fund AccountingRadnor, PennsylvaniaClient Engagement: Act as the key operational contact for clients, handling day-to-day communications and issue resolution to maintain strong, proactive relationships while mitigating operational and reputational risks to Aztec Group. Act as authority on day to day queries and as “B” level 4-eyes signatory on accounting administration matters, ensuring that company policy and professional and regulatory guidelines are adhered to and that a professional quality service is provided to clients and outside contacts.
Manager, Accounting Services SercoManager, Accounting ServicesTrenton, NJLead and manage the Accounts Payable team, fostering a culture of excellence, collaboration, and continuous improvement while overseeing day-to-day operations to ensure efficient workflows, accuracy and timeliness in invoice posting and payment processing, correct reporting, and compliant data management. Actual base salary will be determined by a variety of factors, including but not limited to, the scope of the role, relevant experience, job-related knowledge, education and training, key skills, and geographic market considerations.
Fund Accounting Vice President Hamilton Lane IncFund Accounting Vice PresidentConshohocken, PAESSENTIAL DUTIES AND RESPONSIBILITIES: Oversee annual audits, Review and final approval of annual and quarterly financial statements, tables, and footnotes for 70+ private equity funds and feeder vehicles, Implement and oversee accounting processes and system of internal controls completed by internal staff and outside resources, Ensure continuous improvement of processes surrounding the financial reporting process, Oversee the review and approval processes for management fee and partnership expenses calculations and invoices, Manage all third party administrators and vendor relationships pertaining to fund vehicles, Work with Company department managers to meet goals, including Company corporate reporting deadlines, efficient management of investment fund lines of credit, etc. Coordinate/oversee tax filing process (quarterly or periodic withholdings for non-US limited partners (Forms 1042/8804) and annual Federal and state tax filings (completed by external accounting firms), Final review and approval of accounting positions in memos, Review valuations of investments and present conclusions to valuation committees, Develop and monitor annual department budget and forecasts, Present functional capabilities to clients and prospects, participate in periodic Back Office Best Practice events for clients and others, Manage, coach, and develop reporting staff.
Fund Accounting Vice President Hamilton Lane AdvisorsFund Accounting Vice PresidentConshohocken, PennsylvaniaESSENTIAL DUTIES AND RESPONSIBILITIES: • Oversee annual audits, • Review and final approval of annual and quarterly financial statements, tables, and footnotes for 70+ private equity funds and feeder vehicles, • Implement and oversee accounting processes and system of internal controls completed by internal staff and outside resources, • Ensure continuous improvement of processes surrounding the financial reporting process, • Oversee the review and approval processes for management fee and partnership expenses calculations and invoices, • Manage all third party administrators and vendor relationships pertaining to fund vehicles, • Work with Company department managers to meet goals, including Company corporate reporting deadlines, efficient management of investment fund lines of credit, etc. • Coordinate/oversee tax filing process (quarterly or periodic withholdings for non-US limited partners (Forms 1042/8804) and annual Federal and state tax filings (completed by external accounting firms), • Final review and approval of accounting positions in memos, • Review valuations of investments and present conclusions to valuation committees, • Develop and monitor annual department budget and forecasts, • Present functional capabilities to clients and prospects, participate in periodic Back Office Best Practice events for clients and others, • Manage, coach, and develop reporting staff.