- Extra Space Storage (Missouri City, TX)
- …related to billing, security, auctions, and proper site usage + Handle cash transactions, balance receipts, follow up on delinquent payments, process customer ... payments, and complete daily bank deposits. + Oversee routine administrative tasks, including maintaining...delinquent accounts, monitoring store budgets, and prepare and deliver bank deposits. . + Protect our strong company culture… more
- Robert Half Accountemps (Beaumont, TX)
- …by updating W9 information and other necessary details. * Prepare and process cash deposits in a timely and secure manner. * Utilize accounting software systems ... to manage financial data and reporting. * Assist with bank reconciliations to ensure proper alignment of financial records. * Support auditing processes by… more
- Omni Hotels (Fort Worth, TX)
- …Discovers and responds to customer needs. + Follows Omni policies and procedures for cash handling safety and security, to ensure the safety of all partners during ... each shift. + Counts bank deposit at end of all assigned register shifts, and balances house bank . + Maintains a clean and organized workspace so that partners… more
- Robert Half Accountemps (Fort Worth, TX)
- …Reconcile bank accounts, credit card statements, and maintain accurate cash flow records. Collaborate with company leadership on budgets, forecasting, and ... including accounts payable (A/P), accounts receivable (A/R), payroll, and bank reconciliations. Oversee general ledger, journal entries, and month-end/year-end close… more
- Marriott (San Antonio, TX)
- …locking doors, etc. Set up, stock, and maintain work areas. Input orders into cash register system and collect payment from customer. Take orders, record in MICROS ... day. Obtain change required for expected business level. Count bank at end of shift, complete designated cashier reports,...reports, resolve any discrepancies, drop off receipts, and secure bank . Follow all company and safety and security policies… more
- Fiserv (Frisco, TX)
- …you swipe your credit card, pay through a mobile app, or withdraw money from the bank , we're involved. If you want to make an impact on a global scale, come make ... Executive, CashFlow Central **What does a successful Sales Executive Cash Flow Sales do?** At Fiserv, the Sales Executive...years of experience selling into financial services industry (Community Bank or Credit Unions) + 6+ years of experience… more
- Robert Half Accountemps (Houston, TX)
- …+ Process broker statements and ensure correct journal entries. + Reconcile bank accounts, brokerage statements, and other financial documents. + Handle check runs, ... deposits, and overall cash management. + Month-end consolidation: Prepare financial reports. +...in basic accounting and bookkeeping principles. + Experience with bank reconciliations, journal entries, and handling brokerage statements is… more
- Robert Half Accountemps (Galveston, TX)
- …Responsibilities: * Prepare and post journal entries, including those for cash receipts, inter-company transfers, and payroll transactions. * Reconcile balance sheet ... accuracy and compliance with financial standards. * Review and reconcile bank statements, promptly reporting discrepancies to the Financial Controller. * Oversee… more
- Marriott (Dallas, TX)
- …with all other department's especially housekeeping, reservations, etc. * Controls cash transactions at the front desk and maintains complete responsibility for ... personal bank as specified by hotel bank agreement policy. * Performs other duties as assigned, requested or deemed necessary by management. QUALIFICATIONS: *… more
- Toyota (Plano, TX)
- …Toyota entities such as Toyota Motor Credit Corporation, Toyota Financial Savings Bank , and/or other Americas Oceanic Region finance companies to have a broad ... other TFS entities and parent company reporting * Liquidity Risk Analytics and Cash Flow Modeling; Develop and maintain models and methodologies for funding plan… more