- Sysco (Houston, TX)
- …Responsibilities:** + Responsible to review and approve monthly and quarterly account reconciliations as prepared by the Global Staff Accountant to lower risk and ... requests + Review and provide feedback to the SBS Global team regarding Reconciliations , Journal Entries and other assigned tasks + Review and approve SOPs prepared… more
- Robert Half Finance & Accounting (Dallas, TX)
- …including the preparation and review of journal entries. * Perform bank reconciliations and account reconciliations to ensure the integrity of financial ... records. * Maintain and update accounting systems, with a preference for experience in Blackbaud Financial Edge or Nimble. * Collaborate with cross-functional teams to provide financial insights and support organizational goals. * Develop innovative approaches… more
- Applied Materials (Austin, TX)
- …and provide support of initiatives and resolving business issues + Completing reconciliations for all I&W reserve balance sheet accounts for multiple business units ... + Perform reconciliations using multiple information systems + Review and monitor systemic I&W set ups for accuracy with IW Ops manager reviews + Support any updates… more
- Robert Half Finance & Accounting (Houston, TX)
- …and general ledger management. * Proficiency in journal entries and account reconciliations . * Strong skills in bank reconciliations and cash management. ... * Ability to analyze and interpret financial data for reporting purposes. * Leadership experience in guiding and developing accounting teams. * Familiarity with accounting systems, particularly Magaya, is preferred. * Excellent organizational and… more
- Insight Global (San Antonio, TX)
- …San Antonio, TX. This role is responsible for performing monthly reconciliations of financial transactions, identifying discrepancies, and ensuring the accuracy and ... Degree in Accounting/Finance/Business 3+ years of experience within bank reconciliations Familiar with NSF/Chargebacks Excel proficient Ability to work independently… more
- Robert Half Finance & Accounting (Dallas, TX)
- …incomes statements, balance sheets, general ledgers, cash flow statements, bank reconciliations and other support documentation, to ensure material accuracy of ... equity roll forwards and waterfalls, portfolio consolidations and eliminations, bank reconciliations , etc. * Monitor portfolio cash needs through periodic review of… more
- Robert Half Accountemps (Austin, TX)
- …financial processes such as accounts payable, accounts receivable, and reconciliations , while ensuring accuracy and compliance with organizational standards. Ideal ... receivable (AR) transactions with accuracy and timeliness. * Perform account reconciliations to ensure completeness and consistency in financial records. * Support… more
- Robert Half Finance & Accounting (Irving, TX)
- …role encompasses responsibilities such as journal entry preparation, account reconciliations , and supporting month-end close activities. Responsibilities: * Prepare ... accurate journal entries to ensure proper financial documentation. * Conduct reconciliations for various accounts, including bank statements and balance sheets. *… more
- Omni Hotels (Austin, TX)
- …+ Ensure a smooth Accounts Payable process. + Ensure completion of daily tax reconciliations . + Assist in attaining financial goals. + Partner with Credit Manager to ... daily balance of Income Audit to Daily Report. + Complete all Daily Ledger reconciliations . + Ensure a timely daily close. + Assist with a timely month-end close.… more
- Capgemini (El Paso, TX)
- …+ Maintain a ledger as part of the credit team + Performs basic reconciliations + Follows control and compliance regulations + Maintain accurate and up to date ... + Maintain a ledger as part of the credit team + Performs basic reconciliations + Follows control and compliance regulations + Maintain accurate and up to date… more
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