- Santander US (Dallas, TX)
- …as well as other mortgage products. Proficient knowledge of the remittance reconciliation process with mortgage servicers. In depth knowledge of the purchase, sales ... and settlements of mortgages. Able to analyze mortgage cashflow projections and identify differences between firm records and mortgage services record. Proficient working with loan files from mortgage services and able to map and reconcile data as needed. Key… more
- Anywhere Real Estate (Houston, TX)
- …CloudWatch, Lambda, or IAM. + 5+ years' experience with Data Quality, Data Reconciliation + 5+ years' experience managing production data platforms. + 5+ years' ... experience building observability (Monitoring & Alerting) using tools such as Data Dog and M. + Proficiency in programming languages (eg, Java, Python, SQL). + Knowledge of data governance, data modeling, and security best practices. + Proficiency in CI/CD,… more
- Robert Half Finance & Accounting (Dallas, TX)
- …to assist in the completion of tax estimates and returns. 5. Reconciliation of intercompany accounts 6. Equity method accounting 7. Prepare various reports ... and information requests for annual audit 8. Prepare various cost allocations to subsidiaries 9. Load data files from subsidiaries into Essbase and reconcile data 10. Payroll entries 11. Prepare analyses, schedules, reports, etc. as requested by supervisors… more
- ASM Global (Houston, TX)
- …Representative. + Manage, track, and recap all suite/ticket sales activities and payment reconciliation with the Box Office. + Coordinate with NRG Park caterer to ... create and implement catering options for events. + May perform other duties as assigned. Supervisory Responsibilities + Not applicable. Qualifications To perform this job successfully, an individual must be able to perform each essential duty satisfactorily.… more
- Deloitte (Houston, TX)
- …of project leads. + Execute data migration development, testing, validation, and reconciliation activities to ensure data quality and support a successful go-live. + ... Build positive working relationships with clients and team members through effective communication and delivery. + Share knowledge and best practices with peers, supporting continuous improvement within the team. + Assist with proposal development, research,… more
- AVEVA (Houston, TX)
- …managers across the Group. + Oversee US GAAP disclosure preparation, including reconciliation of GAAP differences. + Prepare and maintain detailed tax provision ... memoranda and supporting documentation. + Ensure compliance with internal controls, including SOX documentation and audit processes. + Manage tax reporting aspects of M&A transactions, including purchase accounting and compliance. + Identify and implement… more
- ASM Global (El Paso, TX)
- …in a timely manner + Complete all necessary reports/documentation involved with reconciliation of all monies collected + Able to communicate effectively and ... professionally with guests, coworkers and clients + Provide information to guests on hours of operation, daily, event, monthly and long-term parking, and general information about our surrounding areas. + Monitor area for safety hazards, pedestrians walking on… more
- Deloitte (Houston, TX)
- …specifications. + Oversee and execute data migration development, testing, validation, and reconciliation activities to ensure data quality and a successful go live. ... + Build and maintain strong client relationships throughout project delivery + Mentor junior team members, fostering knowledge sharing, continuous improvement, and adoption of best practices + Support business development and practice growth by contributing to… more
- City of Baytown (Baytown, TX)
- …management of the programs. Responsible for oversight of the review and reconciliation of budget reports. Reviews general ledger to ensure compliance with internal ... control policies, procedures and generally accepted accounting principles and authorizes correcting journal entries and/or budget adjustment entries. Assists in overseeing the preparation of various interim financial reports to City Council or City Boards as… more
- Robert Half Finance & Accounting (Houston, TX)
- …expense allocation, monthly accruals, and amortization of prepaid expenses. * Reconciliation of bank and ledger accounts, along with interfunds transfers. * ... Performing income statement variance analysis for comprehensive financial insight. * Adherence to established deadlines on the monthly close calendar. * Participating in audits and providing necessary support to comply with requests for information. *… more