• Inventory Control Associate - (Days 6am to 2:30pm)

    LSI Solutions (Victor, NY)
    …(POUS) lines with product per First in First Out (FIFO). * Conduct POUS reconciliations . * Kit work orders with required components: pull parts per FIFO, pull qty ... requested, record lot number, allocate, and deliver to proper work center per Bill of Material (BOM) / Traveler. * Work with desktop computers and hand-held computers (scanners) to process ALL inventory transactions. o Generate back order tag as needed. *… more
    LSI Solutions (09/06/25)
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  • Staff Accountant

    Robert Half Accountemps (New York, NY)
    …standards. * Assist in month-end and year-end close processes, including reconciliations , journal entries, and variance analyses. * Process accounts payable and ... accounts receivable transactions, resolving discrepancies promptly. * Create and present financial statements and reports for management review. * Reconcile bank accounts and investigate variances to ensure accuracy. * Support budgeting and forecasting… more
    Robert Half Accountemps (09/06/25)
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  • Sr. Accountant

    Phoenix House (Brentwood, NY)
    …streams and regulatory compliance. . Supervises month-end close processes, including reconciliations , accruals, and journal entries to ensure timely and accurate ... financial reporting. **Qualifications** MENTAL REQUIREMENTS: Ability to concentrate for long periods of time, with interruptions. Ability to cheerfully and positively interact and communicate verbally and in writing. Ability to maintain composure under stress… more
    Phoenix House (09/06/25)
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  • Sales and Service Associate

    Banco Popular Puerto Rico (Brooklyn, NY)
    …+ Support the management of compliance functions including reconciliations , audits (internal/external), reporting, controls, records management, approvals, and ... opening/closing procedures, ensuring all security procedures are strictly adhered + Collect, analyze, and secure all necessary documentation for the successful opening of accounts. Notify supervisor of any suspicious or questionable documents + Promote the… more
    Banco Popular Puerto Rico (09/06/25)
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  • Payroll Administrator

    Robert Half Finance & Accounting (Binghamton, NY)
    …of W-2s and tax filings. * Assist with payroll audits, reconciliations , and implementing system updates or process improvements. Requirements * Experience ... in managing full-cycle payroll processes. * Strong understanding of payroll laws, tax regulations, and compliance standards. * Exceptional attention to detail and ability to manage sensitive information confidentially. * Effective communication skills to… more
    Robert Half Finance & Accounting (09/06/25)
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  • Sales and Service Banker

    Banco Popular Puerto Rico (Bronx, NY)
    …+ Support the management of compliance functions including reconciliations , audits (internal/external), reporting, controls, records management, approvals, and ... opening/closing procedures, ensuring all security procedures are strictly adhered + Collect, analyze, and secure all necessary documentation for the successful opening of accounts. Notify supervisor of any suspicious or questionable documents + Promote the… more
    Banco Popular Puerto Rico (09/06/25)
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  • Management Development Program - Controller's…

    M&T Bank (Buffalo, NY)
    …financial statements and key performance drivers. + Prepare financial schedules, reconciliations , and reports for internal and external stakeholders (eg, SEC, bank ... regulators, shareholders, Board of Directors). + Support general ledger entries and ensure adherence to GAAP, SEC disclosure, and regulatory requirements. + Maintain M&T internal control standards, including timely implementation of internal and external audit… more
    M&T Bank (09/06/25)
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  • Payments Compliance Analyst

    Robert Half Management Resources (New York, NY)
    …and consistency in reporting. * Facilitate daily and monthly financial reconciliations to meet Finance department requirements and expectations. * Ensure compliance ... with banking regulations and industry standards while managing wire transfers and related processes. Requirements * Proficiency in Excel, including advanced formulas and data analysis. * In-depth knowledge of the Bank Secrecy Act (BSA) and banking compliance.… more
    Robert Half Management Resources (09/05/25)
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  • Account Processor

    UHS (Binghamton, NY)
    …you will support accurate and timely processing of financial transactions, account reconciliations , and record maintenance to ensure the integrity of our billing and ... payment systems. Your work helps maintain operational efficiency and contributes directly to the financial health of our organization. At UHS, every connection matters, whether it's matching numbers to ledgers, resolving account discrepancies, or supporting… more
    UHS (09/05/25)
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  • Financial Analyst

    NYU Rory Meyers College of Nursing (New York, NY)
    …discussions on prioritization and programmatic goals; preparation of monthly reconciliations and financial reports; provide guidance to the research community ... of the College on financial and administrative matters; partner and manage relationships with NYU research offices to ensure smooth workflows; apply and ensure departmental, institutional and federal compliance as applicable. This position will service as a… more
    NYU Rory Meyers College of Nursing (09/05/25)
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