- Sedgwick (Albany, NY)
- …experience or equivalent combination of education and experience required. ** GL Experience: GENERAL AND AUTO LIABILITY, LITIGATION, CONTRACTUAL, BODILY INJURY, ... PROPERTY DAMAGE** High School Diploma or GED required. Bachelor's degree from an accredited college or university preferred. Professional certification as applicable to line of business preferred. **Jurisdiction Knowledge: Multiple, including NY** **Licensing:… more
- Robert Half Finance & Accounting (New York, NY)
- …compensation activities * Complete various accounting projects as needed including GL reconciliations. * Collaborate with the internal audit team on establishing ... and maintaining controls * Coordinate with external auditors regarding the financial audit and group SOX controls testing Requirements * Bachelors in Accounting/Finance * 3+ years Accounting/Audit Experience * Commission Accounting or experience from the Real… more
- Santander US (Melville, NY)
- …and TREE, reviews and approves other team members' entries. + Processes daily GL Link. Compares the InfoLease reports / extracts against Synergy totals. Ensures all ... entries passed through after the nightly job stream and that nothing has been rejected. + Scans checks received via BIC (Branch Image Capture). Monitors the outgoing check file sent to FEDs to ensure Santander receives funds for checks posted in the system. +… more
- CBRE (New York, NY)
- …+ **Financial Coding & Payment Processing:** + Apply appropriate financial codes (eg, GL codes, cost centers, project codes) to invoices to ensure accurate financial ... reporting. + Process payments to vendors, including check and electronic payments, adhering to established payment schedules. + Reconcile invoices with payment records and resolve any discrepancies. + Settlement & Wire Payment Processing: + Process all… more
- Deloitte (Williamsville, NY)
- …account display, view reconciliation keys, and an understanding of their transfer to GL + SAP ASAP & Agile methodology frameworks and related business processes + ... Experience with developing eminence, thought ware and point-of-view materials + S/ 4 HANA + Master's degree Information for applicants with a need for accommodation:… more
- Anywhere Real Estate (Buffalo, NY)
- …and negotiating partial payments with debtor Assists cross functional teams (Billing, AP, GL , Operations, Client Services, and Supply Chain) on an as needed basis to ... compensation and gross-up services, remote and hybrid workforce solutions, and language and intercultural solutions. Cartus is a subsidiary of Anywhere Real… more
- Santander US (New York, NY)
- …and modifications. * Performs dollar transactions, collateral setup and maintenance, GL balancing, and quality review. * Creates and analyzes error reports, ... researching the payments log, and incoming wire transfer payments * Ensures proper documentation is filed appropriately and is available for internal and external audits. * Identifies and resolves problems within established guidelines. **What You Bring:** To… more
- Regeneron Pharmaceuticals (Sleepy Hollow, NY)
- …Microsoft Excel is required (financial functions, pivot tables, etc.). Experience with Oracle GL , Hubble, and Oracle Fixed Asset Module is a plus. Does this sound ... like you? Apply now to take your first step towards living the Regeneron Way! We have an inclusive and diverse culture that provides comprehensive benefits, which often include (depending on location) health and wellness programs, fitness centers, equity… more
- Port Authority of New York and New Jersey (New York, NY)
- …equivalent work experience. - Experience in managing Carrier and/or TPA's handling complex WC/ GL claims in NY and NJ - Experience with handling Workers' Compensation ... (WC) within an Owners Controlled Insurance Program (OCIP) - Strong technical claims and coverage knowledge. - Demonstrated experience with PeopleSoft, SAP, BudgetPro, and Salesforce - Ability to communicate effectively with IT professionals, on both a… more
- Heritage Financial Credit Union (Newburgh, NY)
- …annual budgeting and understanding of variances. + Reconcile high transaction volume GL accounts such as ATM and coin machines, researching and resolving differences ... and subledger account reconciliations. Propose solutions to ATM differences aimed at getting the reconciliation to be owned at the branch level. + Review of daily Accounts Payable activity. + Resolve account discrepancies by investigating documentation;… more