Employers
Armades.net
Browse by category / Accounting / Finance

4 jobs Back

Order by
Number of jobs per page
  • Location:Hollywood, CA
  • Posted:03.19.2019
  • Company: VMI Worldwide
An Independent Film & Media Company, we specialize in the distribution, production and sales of feature films and media content We are seeking a Full Time Director of Accounting. Must be very proficient with QuickBooks Pro and Excel. Must be willing to do day to day bookkeeping as well as corporate financials, and HR Duties. Perfect position for someone who can meet a fast-paced, dynamic and entrepreneurial environment in the entertainment business. Responsibilities: - Maintain company financials, including bank reconciliations, month and quarter end reporting, financial analysis, budgeting, and cash flow...
Metro-Goldwyn-Mayer Studios Inc., ("MGM") is looking for a Director of Corporate FP&A to join the Corporate Finance group. The Director will be responsible for managing the overall corporate budgeting, planning, and forecasting needs of the Company, establishing guidelines related to forecasting and budgeting process to ensure consistency and accuracy, managing the team and information received from divisional FP&A groups, and providing reporting / information to senior executives to support decision making. Responsibilities: Managing the corporate FP&A team including four direct reports...
Metro-Goldwyn-Mayer Studios Inc. ("MGM") is seeking a  Payroll Coordinator  to assist in all aspects of payroll administration in MGM's corporate office located in Beverly Hills, CA. The ideal candidate will have a minimum of 3-5 years of experience working in a payroll capacity at a company with at least 400 employees. In addition, the Payroll Coordinator should have the ability to interact in a positive, professional manner with employees in various locations to assist in all payroll-related matters. This position will also contribute to the development and implementation of streamlining payroll processes...
Metro-Goldwyn-Mayer Studios Inc. ("MGM") is seeking a  Treasury Analyst  to oversee the cash management and banking activities for the Company's U.S. and International Operations. This will include handling banking relationships, journal entries, internal reporting, analyses, and daily cash management activities. Responsibilities: Perform bank account administration that includes opening, maintaining, and closing of bank accounts Maintain documentation and liaise between banks, production offices, and internal departments Record daily bank deposits, outgoing wire transfers, and various cash...