- Cintas (Fort Worth, TX)
- …with customer needs, scheduling service for customers, assisting in account reconciliation , preparing reports and invoices, securing permits, and ordering for ... occasional miscellaneous projects. Key Responsibilities Include: + Serve as a liaison regarding fire systems (alarm, portable extinguisher, suppression, or sprinkler) in order to support customers with relevant and accurate information. + Carry out procedural… more
- HCA Healthcare (Dallas, TX)
- …and patients using eMar.** + **Follow facility established guidelines for reconciliation of medications on admission, during transfer and at discharge.** + ... **Assign and conduct appropriate individual and group interventions within the milieu for behavioral and safe management of patients.** + **Maintains appropriate boundaries.** + **Demonstrate least restrictive interventions appropriately.** + **Collaborate… more
- Million Air (Houston, TX)
- …and maintain lease schedules. . Aid in periodic physical inventories and reconciliation of discrepancies. . Participate in the preparation of documents and schedules ... for external audits. . Ensure compliance with federal, state, and local regulations, as well as company policies. . Support the implementation and monitoring of internal controls within the accounting department. . Identify opportunities to improve processes… more
- Amentum (Dallas, TX)
- …accounts, performing calculations, preparing journal entries, performing account reconciliation , preparing reports and financial statements, and resolving issues ... as needed. + Establish and maintain accurate financial records; Create financial reports and statements that summarize and interpret current and projected company financial position. + Assist Financial Reporting and other departments with obtaining accounting… more
- Omni Hotels (San Antonio, TX)
- …are in place in all F&B Outlets + Assures adherence to cashier reconciliation of all over/short, missing check reports, comp checks and other related cashier ... reporting and accountability procedures + Assures full adherence to forecasted productivity ratios by approving all weekly schedules prior to submittal to the Director of F&B + Plans in coordination with Outlets Managers monthly OST Meetings according to… more
- Reyes Holdings (Manor, TX)
- …into inventory items, and relevant accruals. * Daily review of cash reconciliation open items related to supplier inventory invoices and coordinate with internal ... teams and/or suppliers to help resolve any unreconciled invoices. * Resolve invoice pricing and quantity discrepancies by effectively and efficiently communicating with appropriate teams as well as maintain accurate daily task logs ensuring invoices are… more
- Affinius Capital (San Antonio, TX)
- …responsibilities include the administration of cash transactions, maintenance and reconciliation of bank accounts, cash positioning and analysis, fraud awareness ... and the reporting of daily cash transactions to Fund Administrator and other departments. **Essential Duties:** + Reconcile assigned bank accounts; partnering with Fund Administrator to resolve bank and general ledger differences. + Manage, analyze and balance… more
- Cardinal Health (Austin, TX)
- …or hub field would be an asset. + Adverse Event reporting and reconciliation experience strongly preferred. + Data collection and trend reporting experience is ... essential for this role. + Proficiency in MS Office applications required - Outlook, Excel, PowerPoint, and Word. + Excellent verbal and written communication skills. + High regard for superior quality of service. + Ability to prioritize and manage multiple… more
- Kodiak Gas Services (The Woodlands, TX)
- …database level + Identifies, communicates, and resolves data quality and data reconciliation issues + Participates in and supports all planning and problem ... resolution + Performs independent audits and reviews and validates databases to ensure data integrity + Develops and enforces standards and procedures for the storage and retrieval of institutional data Works collaboratively with institutional staff and… more
- Cengage Group (Houston, TX)
- …assigned accounts. + Implements system improvements, (eg Close Management, Reconciliation tools, Business Intelligence, Invoice processing, etc.) processes, and ... reporting tools to make closing and other activities efficient and accurate. + Rationalizes and aligns financial and operational work-flow processes with company objectives; and champions the harmonization and consistency of these standard methodologies… more