Quantcast

Financial Analyst Accounting Manager Res...
Resumes | Register

Candidate Information
Name Available: Register for Free
Title Financial Analyst Accounting Manager
Target Location US-NJ-Trenton
Email Available with paid plan
Phone Available with paid plan
20,000+ Fresh Resumes Monthly
    View Phone Numbers
    Receive Resume E-mail Alerts
    Post Jobs Free
    Link your Free Jobs Page
    ... and much more

Register on Jobvertise Free

Search 2 million Resumes
Keywords:
City or Zip:
Related Resumes

Financial Analyst Accounts Payable Bronx, NY

Financial Analyst Accounts Receivable New York, NY

Accounts Payable Financial Analyst Manhattan, NY

Financial Analyst Accountant Staten Island, NY

Financial Analyst Human Resources Manhattan, NY

Fund Accounting Financial Analysis Somerset, NJ

Financial Analyst Senior Philadelphia, PA

Click here or scroll down to respond to this candidate
Candidate's Name
ACCOUNTING MANAGER FINANCIAL ANALYST CORPORATE ACCOUNTANT TECHNOLOGY EXPERTProgressive experience in corporate and financial accounting management in manufacturing, distribution, consumer, financial securities, and state government.Proficient in general ledger accounting, accounts receivable and accounts payable, payroll, cash management, GAAP and regulatory compliance.Superior research and analytical skills; expertise in financial reporting, consolidated financial statement preparation, budgeting, forecasting and variance reporting.A strong leader who identifies and manages talent well, cultivates a strong team, and mentors staff to provide continuous opportunity for growth.Solid business acumen combined with an Intuitive understanding of executive level reporting needs.History of success in managing projects and process improvement initiatives using advanced computer skills to drive technological changes that improve reporting functionality.PROFESSIONAL EXPERIENCECongoleum Corp-Mercerville, NJ May 2017-November 2020Financial AnalystResponsible for analyzing Sales, Purchases, Operating results and Accounts Payable using historical data, trends and forecasts.Identify areas of efficiency/inefficiency and communicate findings to the Director of Finance and Accounting ManagerAssist in updating and improving financial models, asset management, fixed assets scheduling, spreadsheets, analysis, and forecasts.Support the month-end close through reconciliation and maintenance of subsidiary ledgers for assigned accountsMaintain construction in progress projects including approved amounts, timing and subsidiary ledgersServe as a backup for the finance team performing cash application, expense report review and check distribution when team members are out of the officeSpecial side projectsLearning all new aspects of the manufacturing industryBNY Mellon-King of Prussia, PASenior Associate-Financial Reporting April 2016-December 2016Contribute to the work of the Client Reporting Team in its objective to deliver Black Rock client reporting and the Automation of Client reporting for the reporting periodPrepared Quarterly, Semi-annual, and Annual reports for clients adhering to the guidelines of regulatory reportingAddressed questions from clients and update reports accordinglyState of New Jersey  Trenton, NJ 2014  2015Senior Financial / Budget Analyst (Contractor) Department of Community Affairs, Hurricane Sandy Relief DivisionAdministered a $3.4B post-disaster reconstruction budget funded through the US Department of Housing & Urban Developments Community Development Block Grant (CDBG) Disaster Recovery programs.Reviewed, approved, processed, and allocated $1.7B in funding requests to homeowners, tenants, landlords, developers, and local governments based on parameters of 15 separate funding programs.Executed daily, weekly, monthly, semi-annual, and annual financial reporting to funding authorities.Created Excel spreadsheet programs using pivot tables and advanced functionality to compile budge and perform forecasting.State Street US Investor Services / State Street Corporation  Princeton, NJ 2000  2014Senior Financial Analyst (Contractor) (2011  2014)Supported corporate relocation of securities transaction processing job function to Boston, MA at the request of Departmental VP.Extracted data from Bloomberg Financial System and IDC (International Data Group) to set up derivatives for swaps, options, futures, and securities in the Portfolio Accounting System (PAS).Researched, analyzed, and communicated financial data to clients on behalf of management.Collected, analyzed, and consolidated data from various sources for daily financial reporting purposes.Fixed Assets Account Manager / Supervisor/PAS Specialist/Senior Accountant (2000  2011)Managed a team of up to seven Accountants; hired, trained, mentored, and motivated personnel to execute daily fund accounting work with strict reporting standards and processing deadlines.Directed daily valuation and reporting of assigned municipal bond mutual funds in accordance with GAAP and industry standards, internal controls, and applicable securities reporting requirements.Prepared and booked journal entries for monthly, quarterly, semi-annual, and year-end closings.Analyzed and responded to variance inquiries in security calculations from the client (BlackRock) and provided customer service support to clients in the banking industry on a daily basis.Performed financial analysis of mortgage-backed securities on Bloomberg.Responded to SEC inquiries and facilitated internal and external audit proceedings.Performed complete set up of derivatives and executed on ad-hoc reporting requests from Senior Manager using advanced Excel and computer skills.Drove successful data migration initiative to convert from PAS to MCH system.As Subject Matter Expert, researched, responded to, and resolved technical and accounting issues related to the PAS System and related fund accounting practices.Provided operational support to 300+ accounting personnel processing mutual fund transactions.Communicated regularly with third-party vendor to troubleshoot and resolve technical system issues, serving effectively as a liaison between service provider and Fixed Asset and Support departments.Identified, researched, and resolved discrepancies resulting from accounting processing errors and assisted Trade Processing Unit with trade entry problems.Recorded complex trades and corporate actions in PAS.Executed BETA testing of PAS system enhancements and development projects.Mentored, trained, and supervised Staff Accountants in the execution of daily / monthly transaction processing and all reporting functions associated with mutual fund accounting.Executed high-level fund portfolio analysis projects as well as complex calculations to determine value and cash availability.Reconciled transaction processing and resolved discrepancies with transfer agents and bank.Generated reports and maintained records required for fund audits, published reports for shareholders, tax returns and SEC filings.Prepared ad hoc reports for senior management and ensured overall operational compliance with required controls and regulatory reporting requirements.EDUCATIONBS Degree: Cazenovia College  Cazenovia, NY (1991)COMPUTER PROFICIENCYBloomberg Financial System, Microsoft Office Suite (Advanced Excel, Word), Outlook, Access, QuickBooks, PeopleSoft, Portfolio Accounting System (PAS), Multi Currency Horizon (MCH), SAP.14 Heather Drive Ewing, NJ 08638 PHONE NUMBER AVAILABLE EMAIL AVAILABLE

Respond to this candidate
Your Message
Please type the code shown in the image:

Note: Responding to this resume will create an account on our partner site postjobfree.com
Register for Free on Jobvertise