- Robert Half Accountemps (Jacksonville, FL)
- …banking and accounting processes. Responsibilities: * Process and reconcile daily bank transactions, including deposits, wire transfers, and payments. * Manage ... for invoices, credit card transactions, and other financial records. * Handle cash deposits and check deposits while maintaining proper documentation. * Review … more
- KeyBank (Fort Myers, FL)
- …Florida 33907 **Job Summary** The Client Service Associate supports the Key Private Bank (KPB) sales team by completing client transactions and assisting with need ... **Responsibilities** + Perform daily Teller functions within the Private Bank branch (eg, accurately process all financial service transactions, maintain… more
- Mass Markets (FL)
- …aging reports, and account reconciliation + Enters routine journal entries and bank transactions + Enters AP bills and credit card transactions if needed ... Reconciles, investigates, corrects, and adjusts accounting information + Performs bank reconciliation + Supports department peers as needed CANDIDATE QUALIFICATIONS… more
- Citigroup (Miami, FL)
- …corporate and investment banking, securities brokerage, and wealth management. Citi Bank Retail Mortgage provides home lending services via our Citibank branches ... and change, plans for the future, income, assets, debts, cash flow, and credit history. + Analyze financial information...CPA's, Builders, etc). to drive mortgage business into the bank . + Introduce clients to segment partners when appropriate… more
- JPMorgan Chase (Palm Beach, FL)
- …Your new business generation will come from three primary sources: + Bank -referred opportunities + Your own business development efforts + Existing wealth clients ... consists of: * the banker that manages the overall bank relationship with the client * the Client Specialist,...and/or discretionary incentive compensation, paid in the form of cash and/or forfeitable equity, awarded in recognition of individual… more
- Aston Carter (Gulf Breeze, FL)
- …join our accounting team. This role will have a strong emphasis on bank reconciliations, ensuring the accuracy and integrity of financial records. The ideal ... month-end close processes. Responsibilities + Perform daily, weekly, and monthly bank reconciliations for multiple accounts. + Investigate and resolve discrepancies… more
- Robert Half Finance & Accounting (Orlando, FL)
- …sheet reconciliations on assigned accounts timely and efficiently. -- Reconcile assigned bank accounts ensuring the general ledger activity ties to the bank ... transactions and correcting. -- Responsible for the completion of cash reports. -- Maintains records to be able to...cross-trained and back up for accounting positions. -- Reconcile bank statements and maintain the general ledger. For immediate… more
- Mass Markets (FL)
- …aging reports, and reconciling accounts. + Record routine journal entries and bank transactions. + Enter accounts payable bills and credit card transactions as ... in financial data, making necessary corrections and adjustments. + Conduct bank reconciliations. + Provide support to accounting team members as required.… more
- Citigroup (Tampa, FL)
- **Overview of the Organization:** Citi, the leading global bank , has approximately 200 million customer accounts and does business in more than 160 countries and ... and investment banking, securities brokerage, transaction services, and wealth management. As a bank with a brain and a soul, Citi creates economic value that is… more
- Mass Markets (FL)
- …aging reports, and account reconciliation. + Record routine journal entries and bank transactions. + Process accounts payable bills and credit card transactions as ... + Investigate, correct, and adjust discrepancies in accounting data. + Conduct bank reconciliations. + Collaborate with and support team members across departments.… more