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Teva Long Term Care Assoc Acct Mgr - Los Angeles W CA 
United States, California, Los Angeles 
407892071

Today

How you’ll spend your day
  • Support the month-end and year-end close processes, ensuring timely and accurate financial reporting in compliance with US GAAP and a SOX control environment.
  • Manage general ledger activities, including journal entries, account reconciliations, and variance analysis.
  • Liaise with Global Business Service teams to ensure that offshore processes are running smoothly, that work is reviewed and that issues are addressed in a timely manner.
  • Coordinate with internal and external auditors during quarterly reviews and annual audits, ensuring all documentation is complete and accurate.
  • Ensure compliance with Teva’s internal controls and SOX requirements, and lead remediation efforts where needed.
  • Prepare and analyze weekly cash flow reports and quarterly cash flow forecasts.
  • Manage liquidity and payment processes, ensuring adequate funding for business operations.
  • Collaborate with FP&A and Commercial Finance teams to provide insights into cash flow trends, working capital optimization, and financial risks.
  • Act as a key liaison with corporate treasury and corporate accounting teams to align policies, reporting standards, and strategic initiatives.
  • Coordinate yearly transfer pricing activities with cross-functional teams while ensuring that information is complete and accurate.
  • Lead initiatives to streamline accounting and treasury processes, leveraging automation and system enhancements (e.g., SAP, Vistex, etc.).
  • Assist with other ad-hoc duties, reporting and projects.
Your experience and qualifications
  • Bachelor’s degree in finance, accounting, or a related field; CPA and or MBA required
  • Experience Required: Minimum 7–10 years of progressive experience in accounting and treasury functions. Experience in the pharmaceutical or healthcare industry is an asset.
  • Experience in a multinational or matrixed organization.
  • Strong attention to detail and accuracy in financial data handling.
  • An analytical mindset with the ability to identify and resolve discrepancies.
  • Effective time management and organizational skills.
  • Strong communication skills to collaborate with internal teams and external partners.
  • Ability to work independently and take ownership of assigned responsibilities.
  • Adaptability in a fast-paced, matrixed environment.
  • Solid understanding of US GAAP and general accounting principles.
  • Proficiency in SAP (FI/CO modules) and Microsoft Office Suite (especially Excel).
  • Familiarity with treasury operations, cash forecasting, and banking activities.
  • Experience with ERP systems and financial reporting tools.
  • Experience with BI and related tools/systems.
  • Travel Requirements: 5-10%

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