- Robert Half Finance & Accounting (Houston, TX)
- …and reconciling differences. + Prepare supporting documentation and schedules and respond to auditor requests during + Assist in the filling of all required business ... + Month End Close, General Ledger, Journal Entries, Account Reconciliation, Bank Reconciliations, NetSuite + Energy sector experience - project-based accounting,… more
- Brookfield Properties (Austin, TX)
- …financial transactions, and prepare journal entries + Reconciles all divisional bank accounts and resolve any discrepancies + Maintains accounts receivable, booking ... information (financial and process, written and verbal) to the applicable external auditor for testing and compliance analysis + Ensure personal and co-worker… more
- MUFG (Irving, TX)
- …consistent with the established procedures and templates. + Adhere to the Bank 's risk vision, and risk management policies and programs, and identify and ... Risk Manager (FRM), Certified Regulatory Compliance Manger (CRCM), Certified Internal Auditor (CIA), or other related professional certification preferred. + Minimum… more
- City of College Station (College Station, TX)
- …all state and federal grants. + Reconcile grant-related subsidiary records and bank activity to the general ledger; research discrepancies and prepare adjusting ... by preparing audit lead schedules, providing SEFA support, responding to auditor inquiries, and maintaining audit-ready documentation. + Assist with regular… more