- NTT America, Inc. (Sacramento, CA)
- …RESPONSIBILITIES** + Manages, maintains, and enhances daily cash management including reconciliations among all systems involved + Daily cash movement and ... treasury policy + Clears daily cash transactions in Oracle and performs cash reconciliations + Engages in various special projects such as system enhancements and… more
- Robert Half Finance & Accounting (San Leandro, CA)
- …integrity of our financial records. The ideal candidate will excel in reconciliations , month-end processes, and leveraging financial systems to ensure compliance and ... reporting. + Prepare journal entries and analyze financial results. + Review reconciliations across all accounting areas (eg, bank, AP, accruals). + Oversee bank… more
- Robert Half Accountemps (West Hollywood, CA)
- …Prepare and post journal entries to reflect financial activity. * Conduct account reconciliations to verify the accuracy of financial records. * Perform bank ... reconciliations to ensure alignment between bank statements and internal...and journal entry preparation. * Proficiency in performing account reconciliations and resolving discrepancies. * Expertise in bank reconciliation… more
- Robert Half Finance & Accounting (San Francisco, CA)
- …accuracy, and efficiency in accounting processes while supporting audits and reconciliations . The ideal candidate will bring expertise in financial reporting and ... Review and approve journal entries and supporting documentation. + Oversee account reconciliations and financial analyses for areas such as cash, investments, and… more
- Robert Half Accountemps (Sacramento, CA)
- …role will focus on essential accounting tasks such as invoice processing, reconciliations , and assisting with audits. Ideal candidates should be comfortable working ... audit process by gathering and organizing necessary files. * Perform account reconciliations to ensure data accuracy and completeness. * Utilize accounting software,… more
- Robert Half Accountemps (San Ramon, CA)
- …functions-maintaining the general ledger, preparing journal entries, performing reconciliations , and supporting month-end and year-end close processes. This ... entries (accruals, deferrals, reclassifications) + Perform account and sub-ledger reconciliations (cash, AP/AR, fixed assets, inventory, accruals) + Assist in… more
- NTT America, Inc. (Sacramento, CA)
- …coding with appropriate supporting documentation + Selects balance sheet account reconciliations (deposits, other receivables, etc.) + Analyzes Month-End GL to ... or manager, this role also assists with preparing balance sheet reconciliations and providing assistance to the accounts payable function. **Key responsibilities:**… more
- Robert Half Finance & Accounting (Los Angeles, CA)
- …ledger, including posting and reviewing journal entries. * Perform account reconciliations to ensure alignment between internal records and external statements. * ... Handle bank reconciliations and resolve discrepancies promptly. * Process payroll accurately...to perform month-end close, general ledger maintenance, and account reconciliations . * Previous experience supervising staff and managing team… more
- Robert Half Management Resources (Del Aire, CA)
- …Oversee the monthly financial close process, ensuring accurate journal entries, reconciliations , and timely reporting. + Prepare monthly and quarterly financial ... proprietary systems. + Track contribution income, pledge receivables, and ensure reconciliations for all fundraising campaigns. + Support the Parents' Association… more
- Robert Half Finance & Accounting (Mountain View, CA)
- …of accounting functions, including Accounts Payable (AP), Cash applications, Bank Reconciliations , and General Ledger maintenance. Responsibilities * Carry out the ... filing documents into cabinets. * Perform account and bank reconciliations to verify all payments have been duly recorded...necessary. * Applicant should have experience in performing Bank Reconciliations . * The candidate must be familiar with the… more