Since 2009, Vimal Shah has been working in Geller & Company situated 4, 4. This person is a well-qualified Accounting Manager with over 19 years of work experience. According to Vimal's CV and work profile, this person has worked at more than eight companies with numerous backgrounds and got various skills. Vimal attended school at the Pace University from 2001 to 2005. Vimal can be found in New York, New York – where this professional is currently located. You can search for Vimal's email address and phone number. We can also provide you with detailed contact information upon request.
Name variants:
Vimal Shah
Contact Information
Last Update
Jun 22, 2022
Email
vi**@gmail.com, vi**@aol.com
Location
New York, NY
Company
Workplace
Accounting Manager
New York, NY
Industry
Financial Services, Offices of Certified Public Accountants, Accountants
Colleagues
Work History
Accounting Manager
909 3Rd Ave, New York, NY 10022
Responsible for completing daily, monthly, quarterly and yearly inter-company billing process – entry into SAP, creation of billing document, handling calculations of service or product mov...
Feb 2009 — Oct 2016
Manager and Assistant Controller
Complete all phases of the accounting cycle-daily, monthly, quarterly and yearly to produce the periodical financial reports for Mitsui Steel, Inc. and Mitsui USA, report to Mitsui Tokyo th...
Apr 2007 — Feb 2009
Senior Accountant and Assistant Controller
Migrate general accounting, accounts payables and treasury functions to corporate office.
Streamline current processes (monthly close, expense reimbursements, invoice payments, etc).
Impl...
Aug 2006 — Apr 2007
Senior Accountant
1166 Avenue Of The Americas, New York, NY 10036
Prepare consolidating financial statements and variance analysis on a monthly basis for all subsidiaries
Supervise staff accountants’ work and assist them with meeting internal and externa...
Jul 2001 — Sep 2006
Senior Accountant
200 Vesey St, New York, NY 10007
Prepare consolidating income statements on a monthly basis
Conduct variance analysis on travel commissions, net spread, net card fees
Reconcile quarterly goodwill analysis
Prepare entrie...
Apr 2000 — Jul 2001
Mutual Fund Accountant
1290 Avenue Of The Americas, New York, NY 10018
Managed NAV audit of equity funds through various reconciliations and cross checks
Calculated daily cash projections, income, expenses, yields and capital gains and losses
Prepared survey...
Apr 1998 — Feb 2000
Staff Accountant
1345 Avenue Of The Americas, New York, NY 10105
Managed daily activity and reconciliation of the Bernstein Short Duration California Municipal Fund
Directly involved in the production of semi-annual and annual Financial Statements
Prep...
Mar 1997 — Jun 1998
Education
Occupations
Executive
Director
Manager
Operations Manager
Skills
Account Reconciliation
Accounting
General Ledger
Variance Analysis
Internal Controls
Finance
Financial Analysis
Financial Reporting
Accounts Payable
Sarbanes Oxley Act
Analysis
Financial Statements
Consolidation
Corporate Finance
Financial Accounting
Microsoft Excel
Hyperion
Sap
Hyperion Enterprise
Invoicing
Microsoft Office
Due Diligence
Accounts Receivable
Software Documentation
Excel
Quickbooks
Sap Products
Sox
Reconciliation
Compliance
Powerpoint
Word
Customer Service
Inventory Management
Problem Solving
Microsoft Word