- Kelly Services (Syracuse, NY)
- …This role ensures accuracy and compliance in payroll, accounts payable, reconciliations , tax filings, and reporting. **Key Responsibilities:** + Process weekly and ... + Handle banking activities, including daily deposits and bank statement reconciliations . + Track and record business expenditures, petty cash, and expense… more
- Robert Half Finance & Accounting (Hauppauge, NY)
- …of the company's financial data. * Manage daily cash postings and reconciliations to ensure all transactions are accurately recorded. * Hands-on with accounts ... processes, including vendor payments and invoice tracking. * Perform bank reconciliations to verify financial accuracy and resolve discrepancies. * Utilize Point… more
- Robert Half Accountemps (Pittsford, NY)
- …records, including accounts payable and accounts receivable. * Perform bank reconciliations to ensure all transactions are properly accounted for. * Utilize ... Process invoices and payments in a timely and organized manner. * Monitor account balances and resolve discrepancies as needed. * Provide assistance with budgeting… more
- YAI (Rockland County, NY)
- …this link to apply through your Workday account . (http://wd5.myworkday.com/wday/authgwy/yai/login.htmld?) Regional Administrative Professional Under direction of ... with documentation requirements, tracking, monitoring and entry of data and/or completing reconciliations on a regular, rotating basis (eg every two weeks). +… more
- Robert Half Accountemps (Victor, NY)
- …payable and accounts receivable transactions accurately and on time. * Conduct bank reconciliations to ensure financial records align with account balances. * ... of financial services and auditing practices. * Ability to perform bank reconciliations with attention to detail. * Familiarity with payroll systems like ADP… more
- TD Bank (New York, NY)
- …preparation and support of various accounts (including accruals, intercompany reconciliations , compensation) + Assisting with internal audit and governance requests, ... including preparation of reconciliations , organizing documents, and responding to inquiries. + Improve data accuracy, and support data-driven decision-making. +… more
- Robert Half Finance & Accounting (Buffalo, NY)
- …* Analyzing expenses on a monthly basis * Conducting balance sheet reconciliations every month * Creating schedules for annual audits and responding to ... in an accounting role is required. * Must demonstrate proficiency in account reconciliation. * Familiarity with balance sheet reconciliation is essential. *… more
- SUNY College of Environmental Science and Forestry (Syracuse, NY)
- …Billings, reconciliation of revenue related general ledger accounts, bank reconciliations and transactional accounting functions of affiliated organizations. Primary ... through the cashier's office. + Verification of deposits in local depository bank account daily to ensure information is verified for monthly Bank Reconciliations… more
- CUNY (Queens, NY)
- …of accounts. - Posting accounting entries. - Preparing trial balances, bank reconciliations , and similar. - Establishing and maintaining codes for funds and ... adjustments, closings, and extension. - Preparing trial balances, bank reconciliations , operating statements, and financial schedules. - Establishing and maintaining… more
- Bausch + Lomb (Rochester, NY)
- …reflect current business operations. + Oversee inventory accounting, including reconciliations , cycle counts, reserve assessments, and inventory valuation accuracy. ... project stakeholders with financial oversight. + Prepare monthly balance sheet reconciliations , focusing on high-risk areas such as inventory, freight accruals, and… more