- Aston Carter (Tampa, FL)
- …related to invoice presentation. + Upload invoices to external client accounts payable portals. + Review contracts, agreements, and financial documentation to ensure ... and billing conditions. + Maintain up-to-date billing records and ensure client account information is accurate. + Process and verify state tax exemption forms;… more
- Aston Carter (Miami, FL)
- …duties which include posting journal entries, accruals, reclasses, high volume account reconciliations, and variance analysis. Additionally, you will supervise all ... asset financing schedules, and provide guidance to accounts receivable and accounts payable teams. Your role will also support external audits and reviews.… more
- Catalent Pharma Solutions (Tampa, FL)
- …Analyze financial information by reviewing corporate income statements, balance sheet account reconciliations, and other reports to summarize and interpret current ... + Own and manage the cash, payroll, fixed assets, prepaid, and accounts payable corporate processes + Prepare and review monthly, quarterly, and annual corporate… more
- Bausch + Lomb (Tampa, FL)
- …assisting in the month-end close process, managing purchase orders (POs), accounts payable (AP), and fixed assets, and supporting budgeting, forecasting, and other ... and managing departmental spending inputs. + Prepare assigned balance sheet account reconciliations to ensure accuracy and completeness. + Manage and reconcile… more
- Robert Half Finance & Accounting (West Palm Beach, FL)
- …reconcile various accounts, such as payroll and cash disbursement. * Process accounts payable invoices and ensure payments are allocated to the correct accounts. * ... Assist external auditors by providing required documents and account information for annual audits. * File tax forms with federal, state, and local agencies to… more
- Robert Half Finance & Accounting (West Palm Beach, FL)
- …Close & Financial Reporting + Perform monthly closing of General Ledger, Accounts Payable , and Accounts Receivable. + Post all manual journal entries and monthly ... external financial reports. Bank Reconciliations + Prepare and reconcile the General Account bank statements. + Reconcile daily payroll activity. + Reconcile and… more
- Surgery Care Affiliates (Tallahassee, FL)
- …patient. + Determine if a secondary insurance should be added to the patient account ensuring the appropriate payer is selected for Primary insurance. + Utilize the ... and accurate. The insurance verifier will document the findings in the patient account and will contact the patient with either estimated co-insurance, co-pay and or… more
- Mass Markets (FL)
- …accounts. + Record routine journal entries and bank transactions. + Enter accounts payable bills and credit card transactions as needed. + Perform month-end closings ... and account reconciliations. + Investigate and resolve discrepancies in financial data, making necessary corrections and adjustments. + Conduct bank reconciliations.… more
- Mass Markets (FL)
- …journal entries and bank transactions accurately and timely. + Process accounts payable bills and credit card transactions as needed. + Execute month-end closing ... activities and perform account reconciliations. + Investigate and resolve discrepancies in financial data, ensuring accuracy and completeness. + Conduct bank… more
- Mass Markets (FL)
- …accounts. + Record routine journal entries and bank transactions. + Enter accounts payable bills and credit card transactions as needed. + Perform month-end closings ... and account reconciliations. + Investigate, correct, and adjust discrepancies in accounting data. + Conduct bank reconciliations. + Collaborate with and support… more