- Wells Fargo (Irving, TX)
- …and exercise judgement within defined policies and procedures + Develop understanding of bank products and services to connect to customers' needs + Interact with ... customers to demonstrate care and build relationships + Provide appropriate options for bank products and services to customer + Refer customers' financial needs to… more
- Robert Half Accountemps (Fort Worth, TX)
- …including accounts payable (A/P), accounts receivable (A/R), payroll, and bank reconciliations. Oversee general ledger, journal entries, and month-end/year-end close ... timely financial statements, reports, and supporting schedules. Handle vendor management , billing, collections, and payment processing. Process payroll, maintain… more
- Robert Half Accountemps (The Woodlands, TX)
- …fully onsite, Monday-Friday from 8-5. Responsibilities: * Record daily deposits and bank transactions in the general ledger with precision and timeliness. * Perform ... weekly and monthly reconciliations of general ledger accounts to bank statements across multiple locations. * Collaborate effectively with facility teams and… more
- Marriott (Irving, TX)
- …**Schedule** Full Time **Located Remotely?** N **Position Type** Non- Management **POSITION SUMMARY** Prepare drink orders for guests according ... area. Anticipate and communicate replenishment needs. Process all payment methods. Count bank at end of shift, complete designated cashier reports, resolve any… more
- Robert Half Management Resources (Fort Worth, TX)
- …TX. Requirements * Proven experience in account reconciliation and balance sheet management . * Strong knowledge of bank reconciliation processes and general ... Conduct detailed balance sheet reconciliations and resolve discrepancies. * Manage bank reconciliations, ensuring all transactions are properly accounted for. *… 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 ... years of experience selling into financial services industry (Community Bank or Credit Unions) + 6+ years of experience...with ePayments and associated technologies. + Certification in project management (PMP or similar). + 7+ 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. + Oversee...in basic accounting and bookkeeping principles. + Experience with bank reconciliations, journal entries, and handling brokerage statements is… more
- Robert Half Finance & Accounting (College Station, TX)
- …reconciliations to verify the accuracy of financial statements. * Conduct bank reconciliations to ensure alignment between company records and financial ... in accounting roles with a focus on month-end close and general ledger management . * Strong knowledge of journal entries, account reconciliation, and bank … more
- Robert Half Finance & Accounting (Houston, TX)
- …invoices align with contractual terms and conditions. * Collaborate with management to coordinate collections efforts for third-party billing related to facilities. ... * Complete month-end closing activities, including preparing reconciliations for bank accounts, loans, and distributions. * Assist in audit and tax preparation… more
- Community Hospital Corporation (Plano, TX)
- …functions throughout the Hospital, which includes all financial reporting, cash management , budgeting and auditing. Responsible for performing a variety of functions ... May coordinate the complete financial cycle for assigned companies. + Reconciles bank statements and coordinate with outside departments/companies and banks in cash… more