- Scotiabank (New York, NY)
- …goals, plans, and initiatives are executed and delivered in support of the Bank 's business strategies and objectives; and that all credit activities are conducted in ... a customer focused culture to deepen client relationships and leverage broader Bank relationships, systems, and knowledge. + Assist in preparing information for and… more
- Marriott (New York, NY)
- …in accordance with Accounting procedures and policies. Follow property control audit standards and cash handling procedures (eg, blind drops). Obtain assigned ... bank and ensure accuracy of contracted monies, obtaining change...and report accidents, injuries, and unsafe work conditions to manager . Ensure uniform and personal appearance are clean and… more
- MUFG (New York, NY)
- …and resolving where there may be a difference or conflict in needs between MUFG Bank and MUFG Securities, escalating to their manager where required. The typical ... internal governance and regulatory requirements. Maintain accurate documentation and support audit readiness. + Contribute to the review and development of talent… more
- Carrington (Albany, NY)
- …Conducts detailed reviews of data tapes, remittance files, investor reports, bank reconciliations, and quarterly audits. Work closely with the ESR advance ... facility associates and Manager to validate information, identify discrepancies, and ensure timely...loan level detail review, control testing, draft, and complete audit exception/citation detail. * Analyze and reconcile remittance files,… more
- Otsuka America Pharmaceutical Inc. (Albany, NY)
- …This role will seek to transform an inconsistent process into an audit -ready, "white glove" service, providing necessary direction to a direct report responsible ... Excellence & Operations Vendor and Contracts Management Lead and directly manages the Manager , HCP Engagement Lead. This position will lead the transformation of how… more
- CUNY (New York, NY)
- …is seeking a part-time Non-Teaching Adjunct to support the Accounting and Reporting Manager in the Controller's Office. This temporary role will focus on key ... can be delegated for efficiency, including financial reporting assistance, audit preparation, reconciliations, and maintenance of financial schedules. The position… more
- KeyBank (Attica, NY)
- …scheduling, staffing issues, and branch compliance with regulatory, security, and internal audit controls. At KeyBank, we believe it's our opportunity and our ... We take pride in serving our clients and making them feel that no bank will fight harder for them. **Essential Functions** + Embodies a strong client experience… more
- Historic Hudson Valley (Pocantico Hills, NY)
- …Hudson Valley's finance and accounting functions including accounts payable, receivable, bank reconciliations, journal entries, and payroll. Incumbent must be a ... hands-on manager with impeccable integrity, the ability to quickly understand...(trustees, staff, granting agencies) Reconcile accounting records with monthly bank and credit card statements Reflect HHV's business reality… more
- Regeneron Pharmaceuticals (Sleepy Hollow, NY)
- …OIC, file-based integrations, supplier onboarding, purchasing, contract management, bank validations, AP invoice ingestion, receipt/invoice matching, tax providers, ... and treasury/ bank interactions. + Partner with R2R, O2C, WMS, and...and related data structures meet SOX, GxP, internal control, audit , and compliance requirements. + Collaborate with SI partners,… more
- Wells Fargo (New York, NY)
- …**Banking, Lending, & Trust (BL&T)** unlocks access to Wells Fargo Bank products and services to high-net-worth and ultra-high-net-worth individuals and families ... needs related to banking, custom lending, and trust services. These bank specialists leverage resources, valuable research, relationships, custom solutions, and… more