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Metro-Goldwyn-Mayer Studios Inc. (“MGM”) is seeking a Statement Analyst in its Participations department to provide research and analytical support to MGM’s participation accounting, internal compliance, and claims resolution processes.  The ideal candidate will be assisting in the monthly financial close diligence and the preparation of third party participation statements. Responsibilities: •Preparing statements to third party participants •Analyzing license agreements and talent contracts pertinent to participations calculations •Reconciling periodic activity against the company’s general ledger...
Metro-Goldwyn-Mayer Studios Inc., ("MGM") is looking for a Staff Accountant to join the team and assist in all Corporate accounting functions for the Company.     Position description and responsibilities include: • Prepare journal entries and related supporting documentation as  part of the monthly financial close process • Prepare general ledger and bank account reconciliations  • Update and maintain foreign exchange rates in the general ledger • Prepare schedules to assist in the annual financial statement audit • Assist with SOX controls tracking and prepare support for internal and external...
Metro-Goldwyn-Mayer Studios Inc. (“MGM”) is seeking an experienced participations professional with exceptional analytical and excel skills to manage all aspects of the company’s current titles modeling, reporting, and forecasting. The position will report to the department’s Vice President and will be responsible for the day-to-day supervision of a team of analysts and senior analysts. Responsibilities: •Overseeing and reviewing the work of the staff responsible for preparing statements to third parties, financiers and co-production partners for current releases, as well as production cost and...
Metro-Goldwyn-Mayer Studios Inc. (“MGM”) is seeking a  Treasury Analyst  who will be primarily responsible for cash management and banking activities for the company’s US and International Operations.  This includes daily cash management activities, managing banking relationships, performing analyses, internal reporting, and special projects. Responsibilities: •Perform daily cash processes that include projecting and analyzing the daily cash position for U.S. and international operations, initiate wire transfers, review positive pay, and compile the necessary audit trail documentation •Perform bank...