• Analyst III, Pension

    Liberty Utilities (Merrick, NY)
    …and systems as required and ensuring compliance. Completes all reconciliations and audits associated with these programs. \#LI-Hybrid **Accountabilities** + ... Responsible to ensure the programs, respective policies, plan documents, contracts, communication, processes and systems are continuously updated to ensure legislative compliance + Responsible to ensure the accurate, efficient and execution of the Retirement… more
    Liberty Utilities (08/21/25)
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  • Corporate Controller

    Echelon Supply & Service (Liverpool, NY)
    …with company policies and US GAAP. Responsible for reviewing monthly/quarterly account reconciliations and other documents to ensure this compliance. | Ensures that ... company financial reports are prepared in compliance with policies and directives. | Supervises the completion of Federal and State tax reporting requirements (including income, property, sales and use, payroll and other local taxes), insurance reports and… more
    Echelon Supply & Service (08/21/25)
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  • Staff Accountant

    Robert Half Finance & Accounting (White Plains, NY)
    …our diverse clientele. Every engagement offers exciting challenges, from interim reconciliations and month-end close to audit preparation and process improvement ... implementation. It's your opportunity to make a real difference while gaining invaluable experience across industries and organizational structures. What You'll Do Our Staff Accountants thrive on variety, combining their technical expertise with their ability… more
    Robert Half Finance & Accounting (08/21/25)
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  • Accounting Associate

    Book of the Month (New York, NY)
    …all relevant vendor documentation + Record journal entries and prepare account reconciliations for the monthly close + Record monthly intercompany entries + Review ... credit card activity + Support our annual audit preparation + Create and edit spreadsheets in Excel and Google Sheets + Execute other special finance projects as instructed About You + Degree in Business, Economics, Accounting, or related field and/or relevant… more
    Book of the Month (08/21/25)
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  • Family Self Sufficiency Case Manager for…

    City of New York (New York, NY)
    …information regarding escrow accounts, including but not limited to, monthly reconciliations of approximately 150 of the 600 accounts, and matching balances ... between bank accounts and the software used to track monthly deposits. They will calculate escrow account balances, reconcile accounts, post adjustments, document and note all actions in participant files and the data management system, manage requests for… more
    City of New York (08/21/25)
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  • Accounts Payable Coordinator

    Robert Half Finance & Accounting (New York, NY)
    …role, you will manage invoice processing, ensure accurate coding, and oversee reconciliations to maintain smooth financial operations. This position is ideal for ... someone with a strong background in accounts payable and a commitment to efficiency. Responsibilities: * Process a high volume of invoices accurately and efficiently. * Reconcile vendor statements to ensure timely payments and resolve discrepancies. * Manage… more
    Robert Half Finance & Accounting (08/21/25)
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  • Staff Accountant

    Kaleida Health (Buffalo, NY)
    …necessary for system and regulatory agency reporting requirements. Prepare monthly reconciliations of balance sheet accounts to ensure asset protection and integrity ... of financial reporting.** **Education And Credentials** **Bachelors degree in Accounting** **Experience** **Minimum one year experience in the accounting field.** **Working Conditions** **Essential:** Weight Requirement - Sedentary (10 lbs)** **Job Details**… more
    Kaleida Health (08/21/25)
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  • Accounts Receivable Clerk

    CSC ServiceWorks (Queens County, NY)
    …to address and resolve customer account discrepancies. + Perform account reconciliations for incoming cash, resolve discrepancies, and maintain accurate records for ... month-end closing. + Handle payment reversals related to CC merchant chargebacks and ACH rejections. + Perform on-line customer invoice uploads using Nexus and Vendor Cafe. + Maintain, monitor, and reconcile accounts receivable ledgers. + Assist in month-end… more
    CSC ServiceWorks (08/20/25)
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  • Assistant Controller

    Robert Half Finance & Accounting (New York, NY)
    …and third parties on international consolidations + Managing audit requests, reconciliations , and key financial schedules + Researching and applying accounting ... guidance to complex or new financial matters + Tackling special projects that drive organizational insight and efficiency If you're ready to be part of a collaborative, mission-oriented team that values integrity, excellence, and global citizenship, please… more
    Robert Half Finance & Accounting (08/20/25)
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  • Analyst, Demand & Inventory Planning

    Book of the Month (New York, NY)
    …and inbound inventory delays. + Oversee inventory health, including cycle counts, reconciliations , and root cause analysis of variances. Ops Planning and Reporting + ... Lead the integrated planning process (S&OP) to align supply, demand, and operational capacity across functions. + Perform detailed Excel analysis to support key SC&O and BOTM initiatives. + Provide regular reporting to management on inventory levels, forecast… more
    Book of the Month (08/20/25)
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