• Manager, Accounts Payable

    New York Power Authority (White Plains, NY)
    …Accounts Payable functionalities and implement robust process automation and the cash management improvement initiatives in partnership with cross functional teams. ... end close process including reporting to various stakeholders. + Perform monthly reconciliation of Procurement Credit Card charges and Travel Credit Card charges.… more
    New York Power Authority (05/23/25)
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  • Accounts Receivable Clerk

    Robert Half Finance & Accounting (Syosset, NY)
    …will be tasked with maintaining and organizing accounts receivable data, processing cash applications, and handling customer queries. This role is crucial to ... financial operations within our organization. Responsibilities: * Handle and process cash applications with accuracy and effectiveness. * Organize and maintain all… more
    Robert Half Finance & Accounting (05/13/25)
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  • Accounting Manager

    Compass Group, North America (New Hyde Park, NY)
    …warehouse) with inventory counting and inventory transfers for multiple units.* Manages cash room and coordinates banking/armored car services * Manages A/R and A/P ... * Experience with multiple cost center/business lines a plus. * Operating weekly reconciliation and closing * Operating system weekly reconciliation and closing… more
    Compass Group, North America (05/23/25)
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  • Financial Data Analyst

    Binghamton University (Binghamton, NY)
    …involves working closely with stakeholders to ensure data-driven decision-making, reconciliation of financial information and reporting of financial and operating ... accounts. + Work with department staff on a daily reconciliation of receipts with banking and credit card records,...+ Oversee all processes relating to revenue collection including cash handling and deposit procedures, and point of sale… more
    Binghamton University (04/29/25)
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  • Athletics Operations Assistant

    Hamilton College (Clinton, NY)
    …financial processes including expense reports, invoices, and corporate card reconciliation for all athletic department transactions for completeness and compliance ... account coding + Assist with accounting operations, accounts payable, accounts receivable, cash management, and assist in implementing process to ensure accurate and… more
    Hamilton College (04/22/25)
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  • Payroll Accountant

    Regional Transit Service (Rochester, NY)
    …to prepare, analyze, reconcile, and track financial data, accounting transactions, cash management, and internal controls. This role also involves collaborating with ... dated items and provide due diligence notification to payees. + Record daily cash , check, farebox deposits and credit card receipts in Lawson accounting system and… more
    Regional Transit Service (05/07/25)
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  • Controller

    Robert Half Management Resources (Brooklyn, NY)
    …* Supervises and trains Senior Accountant and Bookkeeper personnel in fiscal and cash procedures and in the performance of standard and routine data input, check ... questions, reviewing projects, and providing technical assistance as requested. * Monitors cash flow and cash need projections; makes routine banking… more
    Robert Half Management Resources (06/05/25)
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  • Sr. Accountant

    Robert Half Finance & Accounting (Williamsville, NY)
    …documentation, and compliance with internal policies. * Assist in recording daily cash transactions by matching them with bank feeds and maintaining accurate ... records. * Reconcile cash inflows and outflows between subsidiary ledgers, payment gateways,...in the accounting system. * Prepare journal entries and reconciliation worksheets to support the month-end close process. *… more
    Robert Half Finance & Accounting (06/05/25)
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  • Client Experience Associate

    HSBC (Brooklyn, NY)
    …+ Complete accounting-related responsibilities for the center including regular cash control activities ATM processing, current transaction system reconciliations, ... negotiable instruments) and general ledger account maintenance and reconciliation + Ensure adherence to established customer interaction standards for every… more
    HSBC (06/05/25)
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  • Banking Relations Specialist, Bureau of Controller

    City of New York (New York, NY)
    …and meet DOHMH's objectives. Position Summary - The Bureau of Controller's Cash Management Unit is responsible for tracking and recording and depositing any ... refunds for said payments. The Bookkeeper will report to the Director of Cash Management along with four other Banking Relations Specialist. Job Duties and… more
    City of New York (05/24/25)
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