- Indeed (Austin, TX)
- …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
- Honeywell (Houston, TX)
- …facilitation of the demand planning meetings, the supply planning process, the financial reconciliation and the final executive SIOP plan review. The role will be ... dedicated to implementing policies and procedures within the Business Units (BU's) and driving the adoption of best practices for SIOP and Demand Planning. The role will also foresee the implementation of an advanced planning tool & migration from APO in the… more
- Houston Methodist (Houston, TX)
- …Cash Applications position is responsible for overseeing the daily entry, reconciliation , electronic data interchange, and analysis of all insurance activity between ... of the root cause analysis process as assigned by manager . + Monitors self and ensures employee compliance with...as needed to close month properly. + Performs cash reconciliation to ensure cash is posted on a daily… more
- Bank of America (Dallas, TX)
- …movement of assets into and out of accounts. Key responsibilities include reconciliation , settlement, and trade and transfer support, and providing quality service ... team members.** **Responsibilities:** **Performs moderately complex transaction processing and reconciliation with medium to large monetary impact according to the… more
- Omni Hotels (Houston, TX)
- …and review on all site accounting activities including account reconciliation , accounts payable, accounts receivable, research, Accounts Receivable billing, credit ... Assist in attaining financial goals. + Partner with Credit Manager to ensure the timely billing of all direct...Daily Report. + Complete all general ledger and bank reconciliation . + Ensure a timely month-end close. + Produce… more
- The Estee Lauder Companies (Round Rock, TX)
- …We are looking for a dynamic and inspirational Key Holder to support the Store Manager and Assistant Manager to ensure the smooth efficient running of the Store. ... carry out essential start and end of day cash reconciliation as will also have responsibility for opening and...While not essential, previous retail operations experience including cash reconciliation and opening and closing the store is desirable… more
- The Estee Lauder Companies (Round Rock, TX)
- …We are looking for a dynamic and inspirational Key Holder to support the Store Manager and Assistant Manager to ensure the smooth efficient running of the Store. ... carry out essential start and end of day cash reconciliation as will also have responsibility for opening and...While not essential, previous retail operations experience including cash reconciliation and opening and closing the store is desirable… more
- City of College Station (College Station, TX)
- …including the verification of cash drawer bank, as well as the reconciliation of payment reports and deposits, notifying the Development Services Administration ... Manager of any discrepancies. + Process and analyze various...verification of cash drawer bank, as well as the reconciliation of Community Development payment reports and deposits, notifying… more
- Pilot Company (Houston, TX)
- …managing the trade settlement, this will include the management of the daily reconciliation of futures, daily T0 trade verification, and T1 trade confirmations. This ... the team that performs the review, analysis, and the reconciliation of the daily activity between trade capture platform...limits, margin brokers and products and as the Relationship Manager with ICE and CME exchanges. 7. Serve as… more
- Compass Group, North America (San Antonio, TX)
- …upon interview. + **Requirement** : Prior experience in Excel, warehouse reconciliation , and week-to-week-end process is required. + **Pay Range:** $20.00 per ... Canteen. **Job Summary** **Summary:** Under the guidance of the Accounting Manager , performs duties associated with accounts payable and/or account receivables.… more