Accounting Coordinator

Posted 6d ago

Pay not disclosedNew York, New York, United StatesOn-site · Job
excel
documentation
accounting
Responsibilities
  • Coordinate document signatures and follow-ups
  • Assist with calendar management, maintenance, and updating
  • Complete audit-related tasks, such as tracking requests and coordinating follow-up
  • Distribute monthly financials to counterparties, maintain, and update the distribution list
  • Coordinate financial statement deliverables with the AML team during onboarding
  • Assist with credit card administration, including requesting new cards and managing limits
  • Communicate with third-party vendors and coordinate with banks for fraudulent transactions
  • Coordinate various processes, including capital moves and wires
Requirements
  • Able to produce timely and accurate records, especially work paper documentation
  • Supportive, reliable, and a team player with a collaborative mindset
  • Highly organized with exceptional attention to detail
  • Proactive and able to prioritize tasks effectively
Nice to have
  • 2+ years of corporate administrative experience is preferred
Full description from the employer

About the Position We are looking for an organized and discreet Accounting Coordinator to manage a variety of daily tasks and projects across our global Accounting team. You don’t need to be an expert in accounting to thrive in this role—we are happy to teach you what you need to know. You’ll learn from seasoned colleagues how to manage the moving pieces that keep our systems and processes running smoothly. Additional responsibilities of this role might include: • Coordinating document signatures and follow-ups • Assisting with calendar management, maintenance, and updating • Completing audit-related tasks, such as tracking requests, and coordinating with other Jane Street teams to ensure proper follow-up • Distributing monthly financials to counterparties, maintaining the distribution list, and updating it as relationships and requirements change • Coordinating financial statement deliverables with the AML team during onboarding • Assisting with credit card administration, including requesting new cards, managing limits, communicating with third-party vendors, and coordinating with banks in the event of fraudulent transactions • Coordinating various processes, including capital moves and wires This role provides a great introduction to our accounting function and the larger operations of the firm. Getting the details right in accounting is an extremely important part of our business and we take pride in our ability to stay on schedule without sacrificing accuracy. Each member of our team is highly organized, proactive, and able to prioritize tasks effectively. About You • Having 2+ years of corporate administrative experience is preferred • Able to produce timely and accurate records, especially work paper documentation • Supportive and reliable; a team player with a collaborative mindset • Highly organized with exceptional attention to detail • Discreet, trustworthy, and comfortable working in a deadline-driven environment • Motivated to improve processes where possible • A strong communicator with excellent people skills • Proficient with Microsoft Excel If you're a recruiting agency and want to partner with us, please reach out to agency-partnerships@janestreet.com.

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