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Accounting Manager

Cette offre d'emploi n'est plus active.

Localisation: Philadelphia, PA, États-Unis
Type de Contrat: Unfixed Term
Fonction: Finance


Accounting Manager

Works under the direction of SVP and Senior Director of Finance to assist in maintaining and reconciling detailed and accurate general ledger and sub-ledgers.  Assist with producing accurate on time financial results and internal management reporting for decision making as assigned. Support Senior Director, Accounting in creating and maintaining the internal control environment.  Support proper classification and closing activities related to expenses and accruals. Support monthly closing activities and reporting in corporate consolidation tools. Support all daily treasury functions including A/P, banking platforms and bank reconciliations. Partner with other areas of finance and the business to ensure complete, accurate and timely recording of transactions. Manage the AR Credit and Collections process and billing activities.  Analyze financial and general ledger account variances, assist with forecasting and modeling. Review, prepare, and post general journal entries regularly.  Must possess a thorough knowledge of debits and credits and how they are transacted in an ERP system to create financial data.  May assist with documenting and writing processes for business system implementations as well as internal control documentation and process documents as assigned.  Support assigned controlling activities within Finance and Business partners.

Will use ERP to input data, generate or create reports, conduct specialized research projects and respond to inquiries. May reconcile difficult accounts. May be responsible for a complete and systematic set of transactions in a specific phase of accounting.  Will be responsible for organizing and manipulating complex datasets to produce reports necessary for decision making and accrual or other calculations. 

Essential Job Duties and Responsibilities

  • Maintain and ensure completeness of the closing schedule/checklist for site.
  • Maintain and ensure completeness of the account reconciliation checklist. Follow up to ensure all reconciliations are fully completed by quarter, half year and year end close.
  • Assist with reviewing the P&L at period close for completeness and accuracy as assigned.
  • Manage the IFRS16 lease accounting within SAP for all leases. Support the IFRS16 reporting in COFIS and KShuttle where applicable.
  • Assist with general ledger reconciliations as assigned.
  • Assist with assigned controlling area expense review and related explanations and reclasses as well as monthly commentary and budget preparations and analysis.
  • Assist with annual external audit by managing the PBC list and following up on outstanding items as well as providing source support where relevant to job duties.
  • Prepare and manage prepaid accounting entries and related reconciliation.
  • Assist with am treasury period end close activities and related reporting as required.
  • Review an appropriate sample of support from the weekly check run to ensure accuracy, completeness and appropriate internal approvals.
  • Act as a lead for intercompany reconciliation (ICR) for month-end and quarter-end.
  • Other projects as assigned.



Training and Education

Bachelor’s degree in Finance or Accounting degree and/or relevant work related experience.



Three + years accounting experience required


Knowledge, Skills and Abilities

  • Experience with SAP and/or NetSuite preferred
  • Proficient with Microsoft office suite: Excel, Word, PowerPoint, Outlook; and other related business reporting tools
  • Excellent communication skills, both verbal and written
  • Effective organization, attention to detail and the ability to meet deadlines are essential
  • Understanding of general accounting principles


Physical Requirements

May be required to lift boxes 40lbs. or less


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