- Toyota (Plano, TX)
- …of general ledger system (SAP) and provide user support + Perform reconciliation of assigned accounts including Clearing, Suspense, and Currency Translation Accounts ... + Support month-end allocation process by coordinating with eCOE, NAMC and HQ + Investigate and report significant issues related to ME systems + Collaborate closely with users from other departments/locations to ensure close tasks are completed on time. +… more
- ABM Industries (Sugar Land, TX)
- …benefits account for the remaining 40%. The union segment requires a different reconciliation approach due to the numerous union contracts that ABM is involved with ... on a yearly basis. A successful candidate will have human resources knowledge as a backbone to the accounting activities that are tied to payroll, health and welfare benefits, PTO benefits, retirement benefits, and other fringe benefits that are required to… more
- Nexstar Media Group (Irving, TX)
- …and respond to inquiries and provide documentation to assist in the account reconciliation and resolution + Ensuring that all proper station approvals have been ... obtained for accounts recommended as bad debt + Point of contact for monthly collection meetings with the stations + Participate in collection meetings/conference calls for assigned markets + Responsible for assisting the stations by pointing out accounts that… more
- Robert Half Accountemps (Midland, TX)
- …resolve payment and billing discrepancies. * Utilize Microsoft Excel for tracking, reconciliation , and data analysis purposes. * Perform coding and approval of ... invoices in line with organizational standards. * Reconcile monthly invoices to ensure accurate financial records. * Maintain vendor records and ensure proper documentation of transactions. * Assist in managing Joint Interest Billing processes to support… more
- Texas A&M University System (Corpus Christi, TX)
- …Argos. + Experience in analyzing and researching issues. + Experience in reconciliation and FAMIS accounting system. + Experience in creating and reviewing reports. ... SALARY $19.42 - $20.67 Hourly ($40,393.60 - $42,993.60 Annually Approximately) BENEFITS (rules, policies, eligibility apply) From our generous benefits package (https://www.tamucc.edu/human-resources/benefits/index.php) and professional development… more
- Houston Methodist (Houston, TX)
- …record. Accurately enters charges for services provided and performs charges reconciliation as applicable. Serves as resource to management for chargemaster item/CPT ... (Code and Procedure Terminology) code maintenance and development for physical therapy charges. + Uses resources efficiently to maximize utilization of time and equipment. Self-motivated to independently manage time effectively, minimizing incidental overtime,… more
- Taco Bell (Plano, TX)
- …2-3 years in accounting, reporting, or financial operations with hands-on reconciliation and reporting ownership + Experience supporting forecasting, budgeting, and ... period-end close processes + Excel savvy and comfortable with financial systems (SAP, JDE, HFM, Power BI, or similar tools) + Detail-obsessed with a sharp eye for spotting and resolving variances + Strong communicator and natural collaborator + Able to… more
- Aston Carter (Houston, TX)
- …workers' compensation, and supplemental insurance. + Perform general ledger reconciliation and month-end closing procedures. + Prepare and analyze financial ... reports and balance sheets. + Ensure compliance with GAAP standards. Essential Skills + Proficiency in QuickBooks. + Bachelor's Degree in Accounting, Finance, or a related field. + 5+ years of experience in accounting. + Strong understanding of GAAP and… more
- Houston Methodist (The Woodlands, TX)
- …the delivery of pharmacy managed protocols, formulary processes and medication reconciliation activities while providing education to fellow pharmacists, nurses, and ... medical staff. Additional duties for this position include precepting pharmacy students and pharmacy residents on clinical patient care rotations within areas of responsibility and contributing to fulfilling the organization's mission to provide innovative,… more
- Texas A&M University System (College Station, TX)
- …reviews daily reports for successes and failures as well as monthly reconciliation files. Verifies and uploads billing files to Student Business Services. Monitors ... payment provider system to updates transactions, process errors, and refund duplicate payments. On occasion, assists with purchasing for office. + Development: Serves as a backup to other Customer Service Associates and other Residence Life offices as needed… more