- Robert Half Finance & Accounting (Redwood City, CA)
- …and balance sheet. * Investigate and resolve accounting discrepancies and reconciliation issues. * Prepare and distribute financial reports, including monthly, ... (AP) and Accounts Receivable (AR) processes. * Strong expertise in performing bank reconciliations and general ledger reviews. * Demonstrated ability to create and… more
- Robert Half Accountemps (Bakersfield, CA)
- …and grant requirements. * Prepare and record deposits while conducting monthly bank reconciliations to identify and resolve discrepancies. * Import payroll data into ... and assist in preparing periodic grant reports. * Maintain monthly reconciliation schedules and support the preparation of accurate financial statements. *… more
- Robert Half Accountemps (Palo Alto, CA)
- …+ Assist with processing accounts payable and accounts receivable + Reconcile bank and credit card statements, flag discrepancies + Organize and maintain digital ... Ramp, or Expensify for payables and expenses + Excel (basic to intermediate) for reconciliation and reporting + Exposure to Gusto, ADP, or payroll systems is a plus… more
- Robert Half Finance & Accounting (Santa Ana, CA)
- …detail. * Proficiency in account reconciliations, including balance sheet and bank reconciliations. * Demonstrated expertise in general ledger maintenance and ... and year-end closing processes. * Knowledge of balance sheet account reconciliation procedures. * Ability to work collaboratively across departments and communicate… more
- BrightSpring Health Services (Sacramento, CA)
- …orientation training as scheduled + Complete Monthly nursing summary. Do Monthly reconciliation + Review Med exchange at assigned locations + Develop a Medication ... financial or personal information (Social Security Number, credit card, driver's license, bank information, or payment for work equipment, etc.) from you via text… more
- Robert Half Accountemps (Petaluma, CA)
- …researching requirements for new property acquisitions. + Journal Entries & Reconciliation : Generate adjusting journal entries with backup documentation and perform ... monthly bank reconciliations. + Budget Assistance: Support the semi-annual budgeting process for property tax, insurance, business licenses, and FTB (Franchise Tax… more
- Robert Half Accountemps (Sacramento, CA)
- …program managers and other stakeholders. * Assist with the preparation and reconciliation of client reports, making adjustments based on team requests. Requirements ... * Proficiency in QuickBooks. * Strong knowledge of journal entries, bank reconciliations, and month-end close processes. * Excellent organizational skills and… more
- Brink's (Oakland, CA)
- …moving. Our work is essential, so our team members are essential. We verify bank deposits, prepare cash shipments and connect money from one place to the next. ... cash handling, inventory control, deposit processing, vault balancing, account reconciliation , ATM processing, cashier/teller experience + Military background Some… more
- Brink's (Oakland, CA)
- …moving. Our work is essential, so our team members are essential. We verify bank deposits, prepare cash shipments and connect money from one place to the next. ... in any cash handling, inventory control, deposit processing, vault processing, account reconciliation , ATM processing environments or being a Cashier or Teller +… more
- Compass Group, North America (Hayward, CA)
- …Ensures sound financial controls throughout the region, assisting with the review and reconciliation of accounts receivable, credit card, and bank transactions * ... Handle special projects as needed, including support of field operations and regional initiatives. Qualifications: * 5+ years of relevant experience * Bachelor's Degree in Finance, Accounting or Business Administration * Experience in food service or similar… more