- Compass Group, North America (New York, NY)
- …look forward to hearing from you. **Job Summary** **Working as a** **General Manager ,** you will be responsible for maintaining the account in accordance with the ... reports, financial targets and forecasts + Knowledge of cash handling procedures and reconciliation of multiple cash banks and reports + Must be knowledgeable on… more
- Farmingdale State College (Farmingdale, NY)
- …fill two part-time professional staff positions that will share duties as the Assistant Manager of the Dental Hygiene Care Center. Those duties include but are not ... patient scheduling + Patient recall + Collection of clinic fees + Daily reconciliation of accounts receivable. The selected candidate will have knowledge of practice… more
- Cella Inc (New York, NY)
- …development and hands-on implementation to final reporting and budget reconciliation . Manage multi-million dollar annual budgets (preferably $5M-$15M campaigns). ... Serve as the primary liaison, professionally managing client relationships with internal stakeholders and presenting performance metrics and optimization recommendations to senior leadership. Build and execute robust testing plans to drive positive business… more
- Cardinal Health (Albany, NY)
- …customer and vendor pricing, rebates, billing vendor chargeback research and reconciliation ; processing vendor invoices and employee expense reports for payment; ... fixed asset accounting for book and tax records; cash application; and journal entries. + Demonstrates knowledge of financial processes, accounting policies, systems, controls, and work streams + Demonstrates experience working in a transnational finance… more
- American Express (New York, NY)
- …SOX control testing and documentation. + Manage account ownership and reconciliation processes to ensure accuracy, transparency, and integrity across financial ... systems. + Support P&L analytics and balance sheet reviews to identify and address emerging risks and issues. + Partner with Treasury to support Comprehensive Capital Analysis and Review (CCAR) activities. + Contribute to external reporting efforts, including… more
- IHG (New York, NY)
- …data is accurate. + Prepare and respond to chargebacks. + Prepare tax-exempt reconciliation . + Manage income audit. + Oversee offshore Income Audit team. + Assist ... the Director of Finance with financial audit. + Other duties may be assigned, we all wear multiple hats at times! **OUR PEOPLE:** + Attends monthly meetings to review issues and concerns. + Be familiar with all hotel services/facilities to respond to guest… more
- Indeed (New York, NY)
- …and timely posting of payroll journals and liaise with Accounting on reconciliation and queries + Prepare standardised and ad hoc payroll-related reports and ... analytics as required for senior management + Acting as a subject matter expert for your region and addressing all technical questions from the business. + Collaborating with various departments and senior partners to drive the team's vision and influence… more
- University of Rochester (Rochester, NY)
- …awarded budgets for research and other grant activities. + Reviews monthly reconciliation reports, assesses trends and notes problems to be resolved, works with ... PIs to manage expenses and operations. + Monitors and controls spending against all sponsored research grants with the use of UR based financial systems. + Reviews and adjusts faculty and staff effort on grants based on actual effort and University effort… more
- Marriott (North Hills, NY)
- …functions specifically in the areas of account balancing, ledger reconciliation , reporting and discrepancy resolution. **CANDIDATE PROFILE** **Education and ... Experience** * 4-year bachelor's degree in Finance and Accounting or related major; no work experience required. **OR** * 2-year degree from an accredited university in Finance and Accounting or related major; 2 years experience in finance and accounting or… more
- Northwell Health (Port Jefferson, NY)
- …compilation and analysis of monthly financial reports; facilitates the tracking and reconciliation of revenue and expenses to ensure adherence to annual budget ... Generates progress reports, comparative reports, appeals and solicitor performance reports, cash and pledge reports and relationship information for mailings and special projects. + Tracks sources and amounts of fundraising efforts including individual… more
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