- Citigroup (Tampa, FL)
- …and integrity between all Citi ledger accounts , their respective cash bank accounts and associated reconciliations . ARA is part of the Global ... reconciled in an automated recon platform, (iii) any bank accounts that bypass appropriate account management and...it pertains to different balance sheet types (eg, payable, receivable , suspense, bank cash etc.). Advise on the associated… more
- Citigroup (Tampa, FL)
- …and integrity between all Citi ledger accounts , their respective cash bank accounts and associated reconciliations . ARA is part of the Global ... reconciled in an automated recon platform, (iii) any bank accounts that bypass appropriate account management and...in place across different balance sheet types (eg, payable, receivable , suspense, bank cash etc.). + Investigate and profile… more
- SMX (Tallahassee, FL)
- …purchases against approved RIP/TAR and against Joint Travel Regulations (JTR). + Support accounts receivable as required during the billing processing (ie Review ... Program Financial Analyst I (4491)at SMX(View all jobs) (https://www.smxtech.com/careers/) United...1, 2025** The SMX salary determination process takes into account a number of factors, including but not limited… more
- RTX Corporation (Opa Locka, FL)
- …and rotable asset reporting + working capital valuation + support management of accounts receivable and cash flow + Analyze financial results and provide ... Clearance:** None/Not Required As a **Senior Finance and Accounting Analyst ** , you will play a critical role in...achieved. + Prepare journal entries and robust balance sheet account reconciliations . + Collaborate with Operations Finance… more
- Intermountain Health (Tallahassee, FL)
- …units. + Produces the monthly close schedules related to net revenue and net accounts receivable . + Produces analyses of payer performance + Provides various ... skills relative to Revenue Cycle analytics than most financial analyst titles require. It should be used only for...for all assigned business units. + Preforms balance sheet reconciliations for all assigned business units and accounts… more