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Executable: • Payroll Taxes o Liaison with ADP tax filing services on all tax filing issues o Ensure filings are properly filed and reconciled by ADP o Prepare correspondence with Governmental agencies o Support and assist in Payroll Tax Year End Balancing and W-2 Reconciliation processes o Assist in W-2C production and reconciliation processes o Support and assist in Annual Census Reporting o Support and Assist Group tax with reporting o Assist in Federal, State and Local Regulatory Audits • Budgets: o Annually: Work with HR Budget Owners, GlobalHR to prepare following year’s budget. o Review of US cost reports on a monthly basis, working with HR teams and the global HR finance team to understand any cost variances and potential issues. o Assist the global HR finance team in the forecasting and annual budget processes for the Americas covering costs and headcount review of US cost reports on a monthly basis, working with HR teams and the global HR finance team to understand any cost variances and potential issues. o Business champion role in the US for AIP and SAP Expenses, acting as the first point of contact for queries from the US HR Team to ensure processes run smoothly • Reconciliations: o Payroll and Benefits: • Monthly: Reconcile all Health and Welfare accounts. • Monthly: Reconcile and fund other Benefit accounts: • Thrift 401k Plan • Thrift Restoration Plan • Retiree Account • TransIT account • Flexible Spending Account • Deferred Compensation o Monthly: Research and clear any outstanding/open Payroll & Benefit items. • Account monitoring/maintenance: o Each Pay Period/Monthly: Handle transfer of funds between DDA and GL accounts for the following: • TransIT Program • Flexible Spending Account • Retiree Lockbox Account o Escheat Account: • Quarterly: • Obtain list of outstanding/unpaid checks • Enter information into/update Tracker • Print and send search letters • Work with Payroll to have claimed checks re-issued. • Financial Reporting: o Account Ownership: • Monthly: • Sign-off on HR-related accounts to assert that balances are correct and are documented. • Age Receivable/Payable accounts + suspense accounts. Provide explanation and clear items in question for next month-end close. o Management Representation Letter (MRL): • Monthly: Complete and submit Management Rep Letters to Finance identifying any material items outstanding/needing resolution, if any. Otherwise, confirm that there are no material items outstanding. • Monthly/As-needed: Attend MRL meeting to explain process in reconciling accounts. For consideration e-mail resume to ken.kosin@barcap.com
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