- Crane Aerospace & Electronics (Los Angeles, CA)
- …to discuss overdue invoices and payment arrangements. **Customer's Account Reconciliation :** Review customer accounts to ensure accuracy and resolve any ... discrepancies or disputes that may delay payment. **Documentation:** Maintain detailed records of all communication and collection activities, including notes on payment promises and follow-up actions. **Payment Processing:** Process incoming payments **Aging… more
- Girl Scouts San Diego (San Diego, CA)
- …primary liaison between Philanthropy and Finance Departments, assuring accurate monthly reconciliation of Razors Edge with Financial Edge + Support Philanthropy Team ... in direct and indirect fundraising goals by generating mailing lists for solicitations, invitations, and other stewardship efforts + Collaborate with Philanthropy Staff to develop successful segmentation strategies for multi-channel solicitations and prospect… more
- Coinbase (Sacramento, CA)
- …accuracy and timeliness. * Support operational tasks related to trade entry, reconciliation , and settlement. * Learn to navigate different trading venues (CEXs, OTC ... desks, PBs) and execution tools. * *Market Analysis*: * Monitor price movements, liquidity trends, and news flow to support trade execution and idea generation. * Contribute to research memos and presentations incorporating macro, technical, or on-chain data.… more
- Amazon (San Francisco, CA)
- …and expansion- Own and update WBR metrics across the SH business - Reconciliation models for eligibility records and payments - FP&A workstreams and mechanisms - ... Deep dive modeling for KPIs of value based care Basic Qualifications - 5+ years of tax, finance or a related analytical field experience - BA or BS in Finance, Accounting, Business, Economics, or a highly analytical field (eg, Engineering, Math, Computer… more
- HUB International (Riverside, CA)
- …center. + Demonstrate solid understanding of the balance sheet account reconciliation process; ensure reconciliations are accurate and completed in compliance with ... company requirements. + Responsible for ensuring that GL offsets and supporting source adjustments are identified and cleared prior to deadline; follow-up on timely clearing of all reconciling transactions. + Oversee various monthly accrual, true-up,… more
- GE Aerospace (San Francisco, CA)
- …GE Aerospace. The work involves leading monthly closing and financial reporting, reconciliation and analysis of the composition of financial statements, and variance ... analysis including commentary on business drivers of financial performance. Key responsibilities include driving technical accounting compliance, maintaining financial and operational internal controls, leading accounting process simplification, and enabling… more
- Gilead Sciences, Inc. (Foster City, CA)
- …and post event wrap-up / analysis to include surveys, debriefs, and budget reconciliation . + Evaluate and update or establish procedures relating to SOP maintenance ... around key activities for events to improve overall efficiencies, streamline execution and measure effectiveness; and drive recommendations for change in identifying gaps. + Budget responsibilities include initiating purchase orders, check requests, and… more
- Sunrun (CA)
- …data integrity and accuracy of employee benefits information through audits and billing reconciliation liaising with AP and vendors as required + Stay on top of ... competitive market trends, summarize employee insights regarding benefits usage, requests and programming and provide thoughtful recommendations to department leadership regarding potential opportunities to enhance current offerings + Maximize Workday (HCM)… more
- Robert Half Accountemps (Pasadena, CA)
- …Manage company credit card transactions, ensuring proper general ledger coding and reconciliation during month-end close. * Prepare annual filings for Form 1099 and ... handle unclaimed property reporting requirements. * Administer employee travel and expense reimbursements using Concur software. * Maintain and update the Form W-9 database within JD Edwards accounting software. * Participate in special projects, including… more
- GE Aerospace (San Francisco, CA)
- …sheets. + Prepares account reconciliations in accordance with GE Aerospace account reconciliation standards. + Manages the reporting of key financial statement line ... items and operations such as Capital Expenditures (CAPEX) and Supplier Advances. + Provides operational accounting support to Engineering sites and T&O stakeholders. + Supports controllership reviews of supplier agreements to support compliance with accounting… more