- V2X (Melbourne, FL)
- …+ Oversee all property acquisition, asset tagging, and data entry / reconciliation in customer and program asset management systems. + Coordinate with customer ... IT asset manager for consistency in asset recordation and reporting. + For GFP, uses the currently approved USG DPAS database for custody. + Ensures all equipment and related software licenses / subscriptions and maintenance agreements are registered with the… more
- NextEra Energy (Juno Beach, FL)
- …SD) and third-party systems to ensure seamless data flow and financial reconciliation . + Develop and optimize data extraction, transformation, and loading (ETL) ... processes to support financial reporting and analysis. Customization and Enhancement: + Customize and enhance the SAP FI system to automate financial processes, improve data accuracy, and streamline operations. + Implement and support SAP FI enhancements,… more
- Lincoln Financial (Tallahassee, FL)
- …doing** Deferred Compensation * Oversee the day-to-day administration and reconciliation of multiple (employee, director, and agent) non-qualified deferred ... compensation plans, including enrollments, deferrals, distributions, taxation and participant communications - in partnership with external administration vendor. * Ensure compliance with applicable regulations such as IRC 409A and coordinate with legal, tax… more
- Siemens Energy (Orlando, FL)
- …of CFR 15 and 19, complex customs valuation topics includingvalue reconciliation and assists, US HTS classification, Section 232 and301, Incoterms(R). + ... Abilityto identify and propose corrective actions to resolve import and exportissues as they relate to internal systems, processes, customer, suppliers,and service providers. Applicants must be legally authorized for employment in the United States without… more
- HCA Healthcare (Miami, FL)
- …inventory levels + Oversees consignment inventory and ensures compliance with reconciliation requirements and record keeping + Facilitates bulk-buy process, conducts ... routine inventory audits, and ensures product utilization and/or exchanges occur proactively to prevent obsolescence in conjunction with Supply Chain Director and Consolidated Service Center personnel + Works with Clinical Resource Director (CRD) and/or Supply… more
- Insight Global (Orlando, FL)
- …Hedge Fund client accounts, inquiries, transactional processing, problem resolution, and daily reconciliation . They will serve as the point of contact for clients ... and assist in communicating internally as well as externally with clients. They will participate in the allocation, review of trade documentation and ensuring that all cash and trade instructions have been executed properly. This candidate will assist in… more
- University of Miami (Miami, FL)
- …policies, safeguarding departmental and institutional assets. Reimbursements and Charge Reconciliation + Manages reimbursements and reconciles charges as needed, ... ensuring accuracy and timeliness. Onboarding Program Management + Leads the onboarding process for new faculty in partnership with the Vice Chair of Faculty Development and Manager, Administrative operations, updating orientation materials as needed and… more
- MUFG (Tampa, FL)
- …Infoblox etc.) to ingest data to enrich CMDB + Perform multi-source CMDB reconciliation to improve quality of CMDB data + Collaborate with multi-functional teams ... within IT to troubleshoot and resolve discovery and CMDB issues + Document configurations, processes, and procedures related to ITOM Discovery + Analyze existing processes and workflows, identifying areas for improvement, consolidation, and enhancements +… more
- Chenega Corporation (Cape Canaveral, FL)
- …+ Provide reviews of base wide physical chemical inventory and database reconciliation . + Support preparing Base operating instructions and/or plans for HM ... management. + Ensure all HAZMAT transactions and data are entered in the EESOH-MIS system. + Verify HAZMAT transactions are captured for EPCRA and Air Reporting. + Ensure that Hazardous Materials associated with newly identified HAZMARTS, processes, on base… more
- Mass Markets (FL)
- …Receivable functions: invoicing, manual payment application, aging reports, and account reconciliation . + Record routine journal entries and bank transactions. + ... Process accounts payable bills and credit card transactions as needed. + Perform month-end closings and account reconciliations. + Investigate, correct, and adjust discrepancies in accounting data. + Conduct bank reconciliations. + Collaborate with and support… more
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