- Robert Half Finance & Accounting (Coppell, TX)
- …and supporting schedules. * Perform monthly, quarterly, and annual reconciliations of bank accounts, intercompany balances and key GL accounts. * Support internal ... financial reporting and variance analysis including cash flow across multiple entities. * Assist with audits, including preparation of audit schedules and documentation. * Prepare and file monthly sales tax and annual reports in multiple states to ensure… more
- Healthpeak Properties, Inc. (Dallas, TX)
- …creating and posting journal entries, general ledger review and completion of bank reconciliations and balance sheet support schedules. + Ensure financial packages ... are completed and delivered in a timely and accurate manner to Property Management leadership and Property Managers. + Coordinate month-end close and production of financial statements to guarantee timely reporting. + Assist in the preparation of annual… more
- Fifth Third Bank, NA (Houston, TX)
- …to take the next step? Discover a career in banking at Fifth Third Bank . GENERAL FUNCTION: Serves as the trusted advisor and team coordinator to simplify complexity ... for Private Bank clients by challenging and collaborating with them to...and collaborates with client third party advisors (eg, attorney, accountant ) to ensure synergy of advisors' recommendations, consistent to… more
- City National Bank (Dallas, TX)
- …team of auditors to assess risks and internal control environment of the bank 's Wealth Management businesses. This individual will develop and execute detailed audit ... to evaluate the adequacy of the operational processes to meet bank policies and procedures and regulatory requirements, identify data analytic opportunities,… more
- City National Bank (Dallas, TX)
- …and/or written reports and memorandums. The position will support City National Bank 's Internal Audit in providing independent, objective assurance over the design ... and operating effectiveness of the Bank 's risk management practices, governance processes, system of internal...institutions and supervising staff. * CPA - Certified Public Accountant Or * CIA - Certified Internal Auditor Or… more
- City National Bank (Dallas, TX)
- …and work in a dynamically changing environment. Complies fully with all Bank policies, procedures, audit methodologies, training and regulatory requirements. * Data ... audits within financial institutions. * CPA - Certified Public Accountant Or * CIA - Certified Internal Auditor Or...help our clients, colleagues and communities flourish. City National Bank was founded in 1954 by entrepreneurs for entrepreneurs… more
- Mass Markets (TX)
- …trusted partner in the industry. We are looking for a detail-oriented and motivated Accountant to join our team and contribute to the financial health and strategic ... reconciling customer accounts. + Record routine journal entries and bank transactions. + Enter accounts payable bills and credit...growth objectives of Mass Markets. Demonstrated ability in an accountant role is a must. The right candidate will… more
- Comerica (Frisco, TX)
- …Advise on hedging alternatives, structures, pricing, market timing, relative value, peer bank strategies, etc. Create interest rate swap structures for balance sheet ... Legal, operations and external counterparties to execute repo trades providing bank liquidity. Provide analysis and funds transfer pricing spread recommendations to… more
- Toyota (Plano, TX)
- …Fiori Tile Business Transactions. + Experience with In-House Cash/Banking, integration with Bank , Payment Program, Electronic Bank St, Intercompany Settlement + ... if you have** + An accounting degree and certified as CPA or Chartered Accountant . + Experience in Fixed Assets/ SAP Analysis for Office **What We Bring** During… more
- Highmark Health (Austin, TX)
- …requiring the incumbent to work closely with the section's Accountant , Accounting Coordinators, Associate Analyst, providing, guidance, feedback, training, ... including but not limited to: Reviewing imaged deposit reports, Verifying bank receipts, checks, invoices, amounts, group numbers, etc., using the Billing… more