Change the Bank (CTB) Project/Program Manager recruitment
Position Category: Finance/AccountingPosition Title: Change the Bank (CTB) Project/Program ManagerJob Level: Vice PresidentLocation: USA – NY – New York (One NY Plaza)Education Required: Bachelors DegreePosition Description:The CTB Portfolio Manager and Financial Management lead will reside in New York with wide and varying responsibilities for their Global Project Portfolio. Candidates will have a thorough understanding of project, program and portfolio management fundamentals along with knowledge of portfolio financial management and activity-based costing. The candidate will be expected to Read more […]
Director, Accounting Policy Job recruitment
Director, Accounting Policy Job ID #: 71572 Location: CA-Woodland Hills Functional Area: Accounting/Auditing Business Line: SunAmerica Financial Group Employment Type: Full Time – Permanent Education Required: Bachelors Degree (or equivalent) Experience Required: 6-9 years Relocation Provided: No Travel Percentage: 0 Position Description: Position Summary The Accounting Policy department provides technical accounting support to financial accounting and reporting activities of the SunAmerica Financial Group. In this position, you will work with financial and tax accountants, actuaries, auditors, Read more […]
NA Global Funding Control – Derivatives Funding Controller – Manager Level recruitment
Position Category: Finance/AccountingPosition Title: NA Global Funding Control – Derivatives Funding Controller – Manager LevelJob Level: ManagerLocation: USA – NY – New York (One Penn Plaza)Education Required: Masters DegreePosition Description:NA GFC Derivatives Funding Controller – ManagerBank Resource Management (BRM)Job DescriptionBRM is responsible for management of the firm’s financial resources within ISG Sales Trading and is positioned at the core of transaction flows to ensure proper and consistent allocation and pricing of these resources across market facing businesses.Within BRM Product Read more […]
Business Development Associate recruitment
Although we intend to train you completely, candidates must have prior experience in a financial services role. Core components include good client facing skills, self sufficiency, attention to detail and an out-going personality with a ‘go-getter’ attitude.We require that you have a great flair for presentations, as this is a key part of the role. Proficiency in Microsoft Office is a must, especially Excel and PowerPoint. Additionally, we are looking for somebody with a naturally analytical mind, somebody who likes to solve problems.You will be supporting our partners in the business Read more […]
Currenex Integration Team Client Communication Manager recruitment
Regular/Temporary: Regular DESCRIPTION: Responsible for the planning, maintaining, and coordination of all Currenex Integration client facing communication, including client accessed integration team web site, technical specifications and supporting documents. Track all client facing integration activityTASKS and RESPONSIBILITES:• Determine all integration team client facing activity, including specifications and integration documentation• Work closely with development to ensure communication is correct, includingo Maintain specificationso Write new specificationso Write and maintain any Read more […]
Senior Tax Professional recruitment
A Global Broker-Dealer is looking to add a senior tax professional their NY team. The candidate will be responsible tax treatment, planning, withholdings, providing client reporting advice, advising on tax documentation, and acting as the subject matter expert for tax issues in the United States and international entities. They will be responsible for working with accountants, auditors and the IRS for company and client tax reporting, recommending process improvements and other special projects. The perfect person for this position will be a polish professional with high energy, positive attitude, Read more […]
Vice President Fund Accounting Manager recruitment
Position SummaryThe Fund Accounting manager will provide direction leadership to deliver a world class service to clients ensuring client satisfaction is achieved through the establishment of and adherence to policies and procedures as they relate to fund accounting. The manager will also be responsible for maintaining internal and external communications with all stakeholders.NOTE; Would like a person out the big four accounting firms….Having a CPA would be highly desired.Key Responsibilities• Rendering accurate and timely accounting statements in compliance with customer expectations Read more […]
Associate, Investor Services/Client On-boarding (Investor Transactions) Investment Management recruitment
We are seeking exceptionally motivated, highly focused fund services and investor services professionals for these very challenging opportunities. These positions are at the junior (1 – 3 years) to mid level (4 – 8). We are seeking candidates that have at least 1, but preferably between 2 and 8 years’ experience working specifically within investor services, investor relations, fund services, fund administration, transfer agency, custody, or those with closely related buy side or other closely related transactional experience with exceptional understanding of and hands-on experience Read more […]
Fund Accounting and Operations Associate recruitment
The Fund Accountant will report to the VP of Fund Accounting and Operations. ROLE AND RESPONSIBILITIES: Working closely with various business teams within Matthews as well as external vendors, the candidate will primarily be responsible for multiple reconciliations, expense review, internal accounting reporting, review of financial statements, trade settlements, performance verification as well as ad hoc projects. Most responsibilities will be performed daily, but some will follow weekly, monthly, or quarterly cycles. Essential Duties and Responsibilities: Acquire and review various data, Read more […]
Pricing and Asset Specialist recruitment
GENERAL FUNCTIONResponsible for overseeing the process of establishing new assets on the Addvantage system for Reliance and multiple outside institutions. Also responsible for ensuring all assets on the Addvantage systems are priced accurately. DUTIES RESPONSIBILITIES • Set up new assets for all security types including mutual funds via an established security model same day. • Resolve assigned securities Insite and e-mail requests related to new asset set up and modifications to existing assets. • Process daily asset set up files for shadow accounts. • Establish new assets Read more […]