- City of New York (New York, NY)
- …annual vendor payments, securing and managing collateral for over 4,450 City bank account balances, maintaining relationships with 29 City of New York-designated ... Commission. The Reconciliations Unit is responsible for reconciling most of DOF's bank accounts with FMS, vendor payment systems, and agency source systems. The… more
- NBT Bank (NY)
- Pay Range: $23.65 - $33.12 Job Profile Summary The Compliance Specialist I is Responsible for preparing compliance and government filings under direct supervision ... Heavy, and 410(b) coverage tests. + 15% Prepare asset reconciliation and research differences as needed for plan valuation,...sponsorship of an employment Visa at this time. NBT Bank offers a stimulating work environment that recognizes talent… more
- M&T Bank (Amherst, NY)
- …general ledger workflows. + Intermediate Excel (eg, pivot tables, lookups, reconciliation templates) and familiarity with operational reporting. + Knowledge of ... VT 05401 **Scheduled Shift/Required Availability:** + Monday-Friday, 8:30am-5:00pm M&T Bank is committed to fair, competitive, and market-informed pay for… more
- Prestige Employee Administrators (Melville, NY)
- Position Description: The Treasury Specialist is responsible for the accurate, timely, and well-controlled execution of daily treasury operations, with a primary ... focus on client invoice collections, banking activity, and cash reconciliation . This role plays a key part in maintaining cash flow integrity and ensuring compliance… more
- TD Bank (New York, NY)
- …+ Undertakes and completes a variety of complex initiatives requiring seasoned specialist knowledge and/or the integration of cross functional processes + Typically ... data quality management concepts, including completeness, accuracy, timeliness, lineage, reconciliation , and control monitoring. + Advanced analytical skills, including… more
- CUNY (New York, NY)
- Finance Specialist - Revenue Accounting **POSITION DETAILS** The Finance Specialist plays a key role in supporting the financial operations of Hunter College by ... preparing college revenue data for semi-annual close. Additionally, the Finance Specialist will analyze cash transactions in Tuition and Fee accounts.… more
- TD Bank (New York, NY)
- …questions, finds alternative solutions and identifies clear objectives The Operations Analyst/ Specialist I TDS provides back up for the Canadian Fixed Income ... Desk. This individual will handle corporate actions, daily cash reconciliation , tracking file uploads into FIST, and be a DTC clearance specialist .… more
- Actalent (Colonie, NY)
- Job Description We are seeking a highly skilled Accounting Specialist to oversee various financial operations within our client's organization. This role will manage ... payable and procurement, accounts receivable and billing, general ledger and reconciliation , inventory management and cost accounting, compliance and audit, as well… more
- ManpowerGroup (New York, NY)
- **Customer:** Fortune 100 International Bank **Target Pay Rate:** $70/hr - $75/hr W2 (we can not work c2c/c2h/3rd parties) **Type:** Contract **Contract Length:** 6 ... We are seeking a detail-oriented and technically skilled Data Analyst / ETL Specialist with strong SQL expertise and experience in Oracle and SQL Server… more
- City of New York (New York, NY)
- Job Description APPLICANTS MUST BE PERMANENT IN THE CONTRACT SPECIALIST OR PROCUREMENT ANALYST OR REACHABLE IN EITHER TITLES' CIVIL SERVICE LISTS . The New York City ... - Review and track programmatic and administrative spending; maintain tracking and reconciliation of direct service contracts status and budget. - Serve as the… more
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