- Robert Half Finance & Accounting (Houston, TX)
- …and reconcile supporting documents to guarantee accurate billing, including timely processing of reimbursable expenses. * Record monthly journal entries and assist ... to facilities. * Complete month-end closing activities, including preparing reconciliations for bank accounts, loans, and distributions. * Assist in audit and tax… more
- Fiserv (Austin, 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 ... presence in the financial services industry. Assigned to sell core account processing products within the Financial Institutions Group. This role involves leading… more
- Robert Half Accountemps (Fort Worth, TX)
- …* Prepare and post journal entries to the general ledger. * Conduct bank reconciliations to verify account balances and transactions. * Assist with month-end closing ... Excel. * Strong understanding of accounts receivable, billing functions, and invoice processing . * Experience with cash posting, journal entries, and bank … more
- Highmark Health (Austin, TX)
- …including but not limited to: Reviewing imaged deposit reports, Verifying bank receipts, checks, invoices, amounts, group numbers, etc., using the Billing ... system, Maintenance of bank lockbox accounts, Developmentand analysis of aging reports, Telephone...as appropriate, Coordinating AR issues affecting claims or inquiry processing with Membership and Billing personnel.Lead or participate in… more
- Sage Hospitality Group (Houston, TX)
- …Controls cash transactions at the front desk and maintains complete responsibility for personal bank as specified by hotel bank agreement policy. + Maintains a ... computer, calculator and telephone keyboards, for cash handling and paperwork processing . **Physical Demands** The physical demands described here are representative… more
- Robert Half Finance & Accounting (Houston, TX)
- …and administrative functions, which includes managing financial reports, reconciling bank statements, and handling accounts payable and receivable. Responsibilities ... * Oversee and ensure efficient processing of accounts payable and receivable * Carry out...accounting duties such as monthly adjusting entries * Conduct bank and general ledger reconciliations diligently * Prepare and… more
- Robert Half Accountemps (Dallas, TX)
- …companies, patients, or medical billing teams. Banking and Reconciliation: + Perform bank reconciliations for all accounts monthly, ensuring accuracy between bank ... payroll, supplies, and equipment purchases. Payroll Support: + Assist in processing payroll for medical staff, including calculating wages, overtime, and tracking… more
- Community Hospital Corporation (Plano, TX)
- …May coordinate the complete financial cycle for assigned companies. + Reconciles bank statements and coordinate with outside departments/companies and banks in cash ... / manage preparation of all account reconciliations of general ledger accounts, bank statements, and daily cash receipts analyzing discrepancies. Reviews all balance… more
- Robert Half Finance & Accounting (Houston, TX)
- …precision and accuracy. * Perform monthly reconciliations of balance sheets and bank accounts to verify financial records. * Analyze general ledger accounts, ... ensuring accuracy and providing insights for decision-making. * Manage the processing of payments, including ACH and wire transfers, ensuring compliance with… more
- Fiserv (Austin, 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 ... to have:** + Six years of experience in the banking industry, with bank management and operations experience. + Proven ability to interface with senior management… more