- Robert Half Finance & Accounting (Fishkill, NY)
- …experienced Controller to oversee all aspects of financial reporting, compliance, and accounting operations for our organization in Dutchess County. This role is ... relationships with financial institutions. * Oversee treasury functions, including bank reconciliations and safeguarding organizational assets through effective internal… more
- Robert Half Finance & Accounting (Latham, NY)
- …will bring strong organizational skills and a solid understanding of accounting practices to ensure accurate financial recordkeeping. Responsibilities: * Enter and ... and prepare payments in a timely manner. * Reconcile bank statements to maintain accurate financial data. * Prepare...Minimum of 2 years of experience in bookkeeping or accounting . * Proficiency in QuickBooks and Microsoft Excel. *… more
- Robert Half Finance & Accounting (Albany, NY)
- …effectively with team members and clients. Responsibilities: * Perform daily bank reconciliations, compare records with previous day reports, and resolve any ... discrepancies. * Process and monitor daily bank transfers, including approving positive pay transactions and reviewing withdrawals. * Manage daily deposits and post… more
- TD Bank (New York, NY)
- …Analyze results and periodical performance, providing insights on key drivers. + ** Accounting Knowledge** : Have strong knowledge of accounting principles ... and/or business partners and appropriate stakeholders on a range of finance accounting / reporting or operational processes + Apply understanding of respective… more
- Robert Half Finance & Accounting (New York, NY)
- …recruiting for a Client Service Director role for Treasury Services of a global Bank located in downtown Manhattan New York. Our client requires 12+ years Client ... Services, Relationship Management or Prime Services experience within a global Bank , with knowledge of Treasury Services or Treasury Operations. The clients are… more
- Robert Half Finance & Accounting (Melville, NY)
- …including maintaining and updating accounts payable, accounts receivable, and bank balances. * Reconcile accounts, ensuring accuracy and resolving discrepancies ... receivable processes, ensuring proper documentation and timely recordkeeping. * Conduct bank reconciliations to maintain accurate and up-to-date financial data. *… more
- JPMorgan Chase (New York, NY)
- …+ Prior experience in the Securitization area + Experience working in either a leading bank or a Big Four accounting firm + Background in credit risk or ... and transactions in support of the Commercial & Investment Bank Securitized Products Group (SPG) and Tax Oriented Investment...structuring + Experience interacting with bank regulatory agencies JPMorganChase, one of the oldest financial… more
- Robert Half Finance & Accounting (Hudson, NY)
- …Accountant. Reporting to the Controller, job duties include: monthly financial reporting; bank recs; maintaining the general ledger; oversight of AP, AR and Payroll; ... various duties as assigned. Requirements Qualified candidates will have a BA in Accounting or Finance and 3-5+ years of experience. For more information or… more
- City of New York (New York, NY)
- …Reconciliation Unit. The selected candidate will perform the following tasks: - Reconcile bank accounts on a monthly/bi-monthly basis by: - Keeping track of aged ... and showing status in a clear manner - Matching bank clearings to paid checks - Maintaining and updating...and enhance reconciliation process - Perform miscellaneous tasks of accounting nature as assigned by the Supervisor and/or Directors… more
- Robert Half Finance & Accounting (Pelham, NY)
- …accounts payable and receivable, overseeing payroll operations, performing bank reconciliations, and coordinating month-end close procedures. Additionally, the ... Expertise in accounts payable, accounts receivable, payroll processes, and bank reconciliations. * Strong organizational, time-management, and problem-solving skills… more