- Michaels (CA)
- …processes + Manage and execute shrink and safety programs + Assist with cash reconciliation and bank deposits + Assist with inventory processes to include Return to ... Vendor (RTV) and Advance Shipping Notice (ASN) activities as needed + Assist with the onboarding of new Team Members + Train, observe, and coach the customer experience team (sales floor and cashier) to achieve results; participate in the performance… more
- Robert Half Accountemps (San Ramon, CA)
- …+ Perform accounts receivable and billing + Assist with reporting and reconciliation + Collect, mine, monitor and review data + Process financial transactions ... - tracking time and expenses + Assist in the preparation of reports + Perform data entry, verification, and back-up; and maintain database . + Other duties as assigned Requirements + Bachelor's degree in Accounting, Finance, or Economics or similar… more
- Ascendis Pharma (Palo Alto, CA)
- …vendors as required. + Supports Case Transmission Verification (CTV) and SAE Reconciliation activities as needed. + Collaborate with PV Information Technology team ... on implementation and maintenance of the Global Safety Database and Safety Reporting rules within the Safety Database. + Reviews and provides input to Business Partner or Pharmacovigilance Agreements and Safety Data Exchange Agreements (SDEA) to ensure… more
- Robert Half Finance & Accounting (Los Angeles, CA)
- …general ledger management. * Expertise in journal entries and account reconciliation . * Strong skills in bank reconciliations and financial statement preparation. ... * Ability to work independently while managing multiple priorities effectively. * Excellent communication and collaboration skills to work across departments. Robert Half is the world's first and largest specialized talent solutions firm that connects highly… more
- Robert Half Accountemps (Los Angeles, CA)
- …to join their team. You will be responsible for data entry, reconciliation of timecards, paycheck distribution and providing statements to various departments. This ... temporary assignment with a well known company offers great career growth. Please submit your resume and call ### for immediate consideration. Payroll Processing: . Calculate and process employee salaries, wages, bonuses, and deductions. . Ensure accuracy in… more
- Caldera Medical (Westlake Village, CA)
- …a trial balance; reconciling entries. Performs account analysis and reconciliation , including bank statements and intercompany general ledger accounts. Prepares ... and maintains financial reports to ensure accuracy and compliance with accounting principles and standards. Typically reports to a supervisor or manager. Work is closely managed. Duties and Responsibilities: * Perform day to day accounting operations, such as… more
- Sony Pictures Entertainment (Culver City, CA)
- …or Exe. Director of Logistics Services + Support department accounting/ reconciliation processes + Open, research and forward unidentified mail/shipping ... correspondence to the correct employee, department, production or term deal + Attend Monthly Safety/Environmental Training meetings and present training material to department personnel + Perform special requests/assignments from supervisor + Must be able to… more
- Robert Half Accountemps (Livermore, CA)
- …+ Perform accounts receivable and billing + Assist with reporting and reconciliation + Collect, mine, monitor and review data + Process financial transactions ... - tracking time and expenses + Assist in the preparation of reports + Perform data entry, verification, and back-up; and maintain database . + Other duties as assigned Requirements + Bachelor's degree in Accounting, Finance, or Economics or similar… more
- Robert Half Accountemps (Carlsbad, CA)
- …* Handle general accounting tasks, including the preparation, maintenance, and reconciliation of general ledger accounts. * Compile and prepare monthly and ... quarterly financial reporting documents to support organizational needs. * Analyze, reconcile, and ensure all accounts are properly supported and documented. * Reconcile cash receipts and bank statements for multiple treatment centers. * Record and review… more
- Ferguson Enterprises, LLC. (Perris, CA)
- …duties:** + Responsible for the initial physical receipt, processing, audit reconciliation , visual inspection of goods, and identification and counting of incoming ... material. + Accurately receives goods, verifies items against the record of shipment, and inspects condition. + Records received and shipped items according to established procedures. + Responsible for inspection, identification, and delivery to stocking… more