- M&T Bank (Buffalo, NY)
- …Buffalo, NY** **Overview:** Responsible for BAU support of Oracle Account Reconciliation Cloud Solution, in addition to new discretionary configuration. Participates ... of a Business Systems Analyst in support of the Oracle ARCS (Account Reconciliation Cloud Solution)** + Analytical Skills + Critical Thinking Skills + Problem… more
- M&T Bank (Buffalo, NY)
- …for system administration activities in support of the Oracle Account Reconciliation Cloud Solution. Participates in discussions with lines of business to ... Solving / troubleshooting systems Remains calm under pressure Accounting / Reconciliation background Ability to coordinate between applications and business units.… more
- Mastercard (Harrison, NY)
- …**Title and Summary** Senior Specialist, Global Product Management - Payment Reconciliation The Services Business represents over a third of Mastercard revenues ... Product Management role is part of New opportunities pillar for Payment Reconciliation data solutions. This person will support building and commercializing training… more
- Cardinal Health (Albany, NY)
- …efforts in assigned region. + Own managing the sales pipeline for Reconciliation from lead generation, qualification, to close.. + Report out regionally t ... sales leadership scorecards tied to close rates, opportunities, and results to goal. + Proactively engage customers and field resources when necessary + Lead contact for escalated customer calls and requests (tier 3) regardless of assigned region. + Analyze… more
- City of New York (New York, NY)
- …ensure results. Reporting directly to the Division Chief of the Bank Reconciliation Division, the Accountant is responsible for preparing and reviewing bank ... reconciliations for various New York City bank accounts. Responsibilities include, but are not limited to the following: - Prepare bank account reconciliations and record related accounting transactions in the City's Financial Management System (FMS); - Review… more
- Citigroup (New York, NY)
- …controls. The team will be responsible for the firm`s balance sheet reconciliation and substantiation activities, data transfer and reconciliation from Risk ... systems to Finance data authority, including sub-weekly reconciliation of the reporting models to the statement of...entire lifecycle of various asset classes. + Responsible for reconciliation and substantiation activities of their asset class +… more
- Citigroup (New York, NY)
- …integrity and partner with their Segment Controller teams on adjustments or reconciliation issues. In addition, they will partner with the Asset Class Controller ... teams on balance sheet reconciliation and substantiation activities for their respective Segment. Current...in the Financial Statements + Responsible for adjustments and reconciliation of financial results to the general ledger. +… more
- Hudson Valley Community College (Troy, NY)
- …and is responsible for the following duties: 1. Ensures timely and compliant reconciliation of all Title IV funds. 2. Assists with certification and is responsible ... for the reconciliation of all New York State grant and scholarship...grant and scholarship programs. 3. Oversees certification, return, and reconciliation processes for private education loans. 4. Collaborates with… more
- Publicis Groupe (New York, NY)
- …basis. Areas of focus will include partnering with Media on monthly reconciliation efforts, tracking invoice reconciliation , reviewing financial data for ... regular feedback to Media Business Operations Manager and internal teams on reconciliation progress. **Responsibilities** **Day to day your role includes:** + Manage… more
- Aston Carter (Bay Shore, NY)
- …role involves managing shop floor activities, performing order and inventory reconciliation , and ensuring real-time data input. Responsibilities + Execute ERP ... + Open and close process orders daily. + Perform order and inventory reconciliation . + Manage shop floor activities and ensure real-time data input. + Conduct… more