- Citigroup (Encinitas, CA)
- …relationship, and credit strategies that are aligned with the Retail Bank 's priorities, execute business plan to achieve expected goals in all business ... categories + Support portfolio growth by identifying opportunities to deepen relationships and increase client acquisition and ensure clients receive optimal service and monitor/adhere to operational controls + Collaborate with branch partners to successfully… more
- Robert Half Accountemps (Santa Barbara, CA)
- …documentation in client folders. * Collaborate with the bookkeeper to reconcile credit card charges, assigning costs to clients and maintaining organized records. * ... while maintaining collaboration with team members and stakeholders. * Experience with bank reconciliations and auditing processes. Robert Half is the world's first… more
- Marriott (San Jose, CA)
- …Process all payment types such as room charges, cash, checks, debit, or credit . Process all check-outs including resolving any late and disputed charges. Answer, ... reports in the computer system. Cash guests' personal checks and traveler's checks. Count bank at the beginning and end of shift. Balance and drop receipts according… more
- Hilton (Anaheim, CA)
- …but not limited to, using the point\-of\-sale system, handling money, processing credit and debit cards, making change and processing gift certificates and cards ... all beverages, food and other equipment items + Deposit cash drops, secure and balance bank and sign out/in keys **What are we looking for?** Since being founded in… more
- Wells Fargo (San Francisco, CA)
- …transactional, operational, and customer support tasks efficiently through knowledge of bank procedures and products, as well as partners across the organization ... They are accountable for execution of all applicable risk programs ( Credit , Market, Financial Crimes, Operational, Regulatory Compliance), which includes effectively… more
- Fiserv (Sacramento, CA)
- …millions of times a day - quickly, reliably, and securely. Any time 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 a difference at Fiserv. **Job Title** Relationship Manager CMM **What does a successful Relationship Manager at Fiserv do?** The Relationship Manager is the lead relationship person providing… more
- Robert Half Finance & Accounting (Santa Monica, CA)
- …accounting balances * Responsible for entering Office invoice payments * Reconcile credit card transactions as required for business units. * Responsible for ... fiscal year end Requirements Accounts Payable (AP), Accounts Receivable (AR), Bank Reconciliations, General Ledger, Journal Entries, Month End Close, NetSuite,… more
- Hilton (Los Angeles, CA)
- …but not limited to, using the point\-of\-sale system, handling money, processing credit and debit cards, making change and processing gift certificates and cards ... all beverages, food and other equipment items + Deposit cash drops, secure and balance bank and sign out/in keys **What are we looking for?** Since being founded in… more
- Robert Half Finance & Accounting (San Francisco, CA)
- …systems. Review statements, monitor variances, control costs, and oversee cash flow, credit lines, and loans. Partnership Accounting & Taxes: Handle partnership tax ... on retirement plan financials; assist with committee meetings. Banking: Maintain bank relationships, oversee daily banking activity, account transfers, and system… more
- Robert Half Finance & Accounting (Solana Beach, CA)
- …to the general ledger monthly and investigate open items. * Support bank reconciliations for payment accounts. * Perform monthly reconciliation between SAP subledger ... multi-entity environments. * Familiarity with expense management platforms and corporate credit card programs. * Experienced with Excel Education and Experience: *… more