Cost Accounting Manager
Alpek Polyester USA, LLC
Inventory internal control and analysis, create and maintain standard costs and product structures. Variance analysis for raw materials and finished goods inventory. Analysis and reporting of inventory variances and conversion costs. Main raw materials price calculation, price adjustments and accruals. Responsible for Month end Manufacturing closing process to ensure accurate relay of information to upper management Actively manage and analyze international product for resale operations and margins Work with external auditors on a quarterly and annual basis by providing analysis of inventory balances and fluctuations as needed. Coordinate yearly physical observations. Coordinate with IT department for system issues, maintenance and development such as production, purchasing, import/export, accounts payable, accounts receivable, import/export IT, receiving, shipping, and other. Travel Domestic – 10%; and International - 2.5% Hybrid schedule - in office 3 days per week Employer Name: Alpek Polyester USA, LLC Skills & Qualifications REQUIREMENTS Bachelor degree in Accounting or closely related field AND five (5) years’ experience as Cost Accountant, Internal Auditor, Plant Accountant, or closely related. Applicants must have two (2) years’ experience with the following: managerial or supervisory capacity in cost accounting Applicants must have demonstrative experience with the following: accounting principles and IFRS ERP accounting systems MS Excel inventory cost accounting: standard cost, variable cost, variance analysis, fully absorbed direct cost, and net realizable value. supervisory and analytical skills - set SMART goals, establish and review KPI’s and KBI’s and open to conduct evaluations with direct reports collaborate with cross-functional teams, preparing internal control memorandums, clear power point presentations, leading meetings and discussions. #J-18808-Ljbffr
- ...shareholder value by delivering the financing, liquidity, and risk management solutions that support the Company’s global operations The... ...treasury operations, including payments, bank account management, treasury reporting, and banking activitiesPrepare...SuggestedFull timeWork at office
$85k - $125k
...to join our team!The Senior Treasury Analyst is responsible for managing the firm’s treasury operations, including cash management,... ...approve banking transactions, including wires, ACH payments, and account transfers, while maintaining complete backup documentation to support...SuggestedFull timeContract workTemporary workWork at officeRemote workShift work- Alpek Polyester USA, LLC is seeking a Cost Accountant/Controller to manage inventory costs, standard costs, and variance analysis. The role includes month-end close, IFRS-based reporting, and cross-functional collaboration with IT and operations. You will analyze raw materials...SuggestedWork at office
- Alpek Polyester USA, LLC in Charlotte, NC, is seeking a Cost Accounting Manager to lead inventory control, standard costs, and variance analysis. The role requires supervising cost accounting activities, IFRS/ERP experience, and close collaboration with cross-functional...SuggestedWork at office3 days per week
- TIAA’s Corporate Controller group is looking for an experienced Senior Manager to lead statutory accounting and financial reporting activities across our insurance and reinsurance operations. This role is responsible for ensuring the accuracy of the statutory accounting...SuggestedFull timeWork at office
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...covering areas such as valuation modeling, cost optimization, restructuring, business... ...Transactions practice. Being a Deloitte Manager in Human Capital Diligence means playing... ...The wage range for this role takes into account the wide range of factors that are considered...Work experience placementLocal area- ...ideas to life. Our ownership mindset fuels a culture of pride, accountability, and exceptional customer service.As a Treasury Analyst, you'... ...and procedures that will support the Treasury and Insurance Manager with cash positioning, banking, treasury systems (banking...Flexible hours
$82k - $98k
...The Treasury Analyst supports the organization’s cash management, banking operations, and liquidity planning activities. This role is... ...responsible for monitoring daily cash activity, maintaining bank accounts, supporting cash flow forecasting, and assisting with banking...Temporary workLocal area- ...controls and authoritiesManage global bank accounts including:Open/close bank accounts and... ...manualIdentify opportunities to reduce costs and improve processesSupport P-Card program... ...with Kyriba or other treasury managements systems and bank portals3+ years of experience...Local areaRemote work
- ...Treasury Analyst Department: Treasury / Finance Reports To: Treasury Manager FLSA Status: Exempt Location: On-site – Corporate Office in... ..., ACH payments, and internal transfers; maintaining bank account records and access controls; supporting fraud prevention and risk...Daily paidBank staffWork at officeRemote work
- ...AnalystResponsible for performing intermediate-level accounting operations activities, including posting... ...'s global cash and liquidity management, debt administration, investment... ...and treasury service reviews to identify cost-saving opportunities, optimize banking relationships...Full timeTemporary workWork at officeRemote work
$85k - $125k
...to join our team!The Senior Treasury Analyst is responsible for managing the firm's treasury operations, including cash management,... ...approve banking transactions, including wires, ACH payments, and account transfers, while maintaining complete backup documentation to support...Temporary workWork at officeRemote workShift work- ...Responsibility:Enhance deposit models using Wells Fargo's proprietary risk management and treasury analysis technologies to support high priority... ...planning;• Knowledge and understanding of general ledgers and accounting policies;• Experience with SQL, PowerBI, Essbase/Smartview, or...Remote work2 days per week
- ...Lead cash positioning, liquidity forecasting, and short-term investment management Own a company-wide initiative to modernize payments — transitioning from checks to ACH/wires and virtual accounts Serve as a go-to resource for a growing treasury team, with strong succession...Temporary workWork from home
$160k - $250k
Compensation: $160,000 - $250,000 plus bonusJob Overview - M&A Tax Manager We’re seeking an M&A Tax Manager with deep U.S. federal tax... ...:4+ years of U.S. M&A and federal tax experience (public accounting)Strong Subchapter C knowledge; consolidated return experience...$92.57k - $157.63k
...activities. This role will play a key part in ensuring efficient cash management, strong internal controls, and reliable treasury operations in... .... The position partners closely with Treasury leadership, Accounting, Tax, FP&A, and external banking partners to support liquidity...Full timeWorldwideMonday to Friday- ...licensed CPA firm.We are seeking an experienced M&A Tax Senior Manager to lead the day-to-day execution of tax due diligence and... ...Qualifications6-8 years of experience in M&A/transaction tax with public accounting, Big 4, advisory firm, or comparable environment, with...Full timeContract workWork at officeLocal areaRemote workFlexible hours
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- ...Analyst is responsible for supporting an organization’s cash management, liquidity planning, and financial risk activities. This role... ...transactions Maintain relationships with banking partners and support account management activities Assist with debt management, including...Temporary work
- ...Analyst to support the company's daily treasury operations, cash management, and project funding activities in Charlotte, NC. In this... ...flow reports, forecasting, and collaboration across Finance, Accounting, and project teams to ensure accurate and timely funding. Candidates...
- ...opportunity, please review the job description and share your updated resume along with your contact details. Role: Fraud Project Manager ONSITE- Charolette, NC - LOCAL PROFILES ONLY Duration: 6 months Descriptions: Job Description: • Worked in diverse...Work at officeLocal area
- Company DescriptionProSidian is a Management and Operations Consulting Services Firm focusing on providing value to clients through tailored... ...ProSidian Consulting at .Job DescriptionProSidian Seeks a Accounts Payable Manager | Accounting [COC0033230] for Program Support...Full timeContract workTemporary workFor contractorsWork at officeRemote workFlexible hours
- ...function within a large, established organizationPartner with accounting and finance leadership on billing, revenue, and financial reporting... ...experience with increasing responsibilityAccounting Manager, Billing Manager, Revenue Manager, or comparable experience preferredStrong...Remote work
- The External Reporting Manager is an experienced accounting professional responsible for the preparation of Nuveen's quarterly and annual financial statements and supporting the financial consolidation and reporting process. This role holds primary accountability for the...Full timeWork at office
$100.35k - $205k
...across multiple jurisdictions and countries? Do phrases like “accounting for income taxes,” “tax advisory,” and “tax controversy” pique... ...Deloitte’s Business Tax Services practice! What You’ll Do As a Tax Manager within the Financial Services arm of our Business Tax Services...Work at office- ...variance analysis. You will monitor liquidity, optimize global structures, and execute intercompany funding and transfers across entities while maintaining bank accounts and administration. Demonstrated Excel and TMS proficiency is essential. #J-18808-Ljbffr Jobtailor
- ...you to explore the position below and to submit your application to join our team! The Senior Treasury Analyst is responsible for managing the firm’s treasury operations, including cash management, banking activities, and liquidity planning. The Senior Treasury Analyst...
- Sonic Automotive is seeking a Treasury Analyst to manage cash operations and banking compliance. This role focuses on daily cash monitoring, maintaining accounts, and supporting cash forecasting. Ideal candidates should have a degree in Finance or related fields, three...
- ...within the Treasury department. The position supports liquidity management, FX risk, and treasury operations across our global operations... .... We seek 0-2+ years of related experience, a finance or accounting background, strong analytical skills, and excellent communication...
- ...Holdings is seeking a Treasury Analyst to support day-to-day cash management, banking, and payment operations. You will process wire... ...compliance across treasury activities. This role collaborates with accountants, controllers, and banking partners to optimize processes,...
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