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The Property Accountant will be responsible for managing financial records, reporting, and ensuring compliance with accounting standards within the property industry. This role requires a detail-oriented individual with strong organizational and analytical skills.
We're seeking a Staff Accountant - Global Finance & Client Operations (New York) who is detail‑driven, proactive, and eager to contribute to the financial foundation of a rapidly expanding global organization.
This Grant Accountant will oversee budgeting, reporting, and compliance for all grant-funded programs, ensuring accurate financial tracking and timely submission of required documentation.
This Staff Accountant will handle daily accounting operations such as journal entries, account reconciliations, and maintaining accurate financial records. They will support month‑end and year‑end close processes and ensure compliance with company policies and accounting standards.
A fast-growing global organization is seeking a Staff Accountant - Global Finance & Client Operations to support its multinational financial activities. This role sits at the center of global accounting operations and client financial interactions. You will work across US, European, and China entities, ensuring precise financial management, smooth operational processes, and exceptional client communication.
As an Invoicing Coordinator in the Transport & Distribution industry, you will play a vital role in managing and overseeing all invoicing processes to ensure accuracy and efficiency. This position requires strong organizational skills and attention to detail to support the Procurement & Supply Chain department in New York.
This Senior Manager, Finance role oversees financial governance, reporting accuracy, and operational controls for a U.S.-based institution with strong global integration. The position partners closely with international finance teams to drive compliance, financial planning, treasury oversight, and disciplined decision support.
The Manager, Consolidations is a key member of the corporate accounting team, responsible for ensuring the accurate and timely consolidation of financial statements in accordance with U.S. GAAP. This role requires deep expertise in consolidation principles, intercompany transactions, foreign currency translation, and equity accounting.
The Payroll Specialist is a key role within the Human Resources department, focusing on payroll management and ensuring compliance with relevant regulations. This position is ideal for individuals passionate about luxury goods and committed to maintaining accuracy and efficiency in payroll operations.
This interim finance consultant will be responsible for month‑end focuses on completing key close activities, including reconciliations, journal entries, and variance analysis. They will also prepare clear and accurate financial packages for leadership to support timely reporting and decision‑making.
This Accounts Payable professional will be responsible for processing and verifying supplier invoices, ensuring accurate and timely payments. They will maintain financial records, reconcile accounts, and ensure compliance with company policies and payment terms.
The Sr FP&A Manager in the FMCG industry will lead financial planning and analysis efforts, providing valuable insights to drive business decisions. This role requires expertise in financial modeling, strategic planning, and collaboration with cross-functional teams.
The Accounts Receivable/Collections position in the Media & Agency industry focuses on managing accounts receivable and ensuring timely payments from clients. This role is ideal for individuals with a strong background in accounting and finance who are comfortable working in a fast-paced environment.
The Finance SVP will oversee financial operations, manage accounting functions, and ensure compliance with relevant regulations within the Financial Services industry. This position requires a strong background in finance and leadership skills to drive organizational success.
This role leads the financial operations of a sophisticated single‑family office, overseeing multi‑entity accounting, tax coordination, treasury, and investment support while working closely with leadership in a high‑visibility, hands‑on capacity.
The Lead Treasury Analyst will play a key role in managing cash flow, optimizing liquidity, and supporting financial operations within the professional services industry. This position requires a detail-oriented individual with a strong understanding of accounting and finance principles to ensure accuracy and efficiency in treasury processes.
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