- Adecco US, Inc. (San Jose, CA)
- …**What you'll do:** + Handle daily accounting activities and month-end close, including reconciliations , journal entries, and account analysis. + Make sure our ... accounting practices stay aligned with company policies and GAAP. + Support accounting and tax reporting for our Board of Directors. + Process AP invoices, manage coding accuracy, and help with credit card administration. + Keep our records organized and… more
- Robert Half Finance & Accounting (Los Angeles, CA)
- …close processes and general ledger management. * Expertise in journal entries and account reconciliation. * Strong skills in bank reconciliations and financial ... statement preparation. * Ability to work independently while managing multiple priorities effectively. * Excellent communication and collaboration skills to work across departments. Robert Half is the world's first and largest specialized talent solutions firm… more
- Robert Half Finance & Accounting (Richmond, VA)
- …(Excel, Outlook, Word), accounting systems, and billing programs. Requirements Account Reconciliation, Balance Sheet Reconciliation, Bank Reconciliations , ... General Ledger, Journal Entries, Microsoft Excel, Month End Close, NetSuite, Oracle, SAP, AIA Billing Robert Half is the world's first and largest specialized talent solutions firm that connects highly qualified job seekers to opportunities at great companies.… more
- Robert Half Finance & Accounting (Denver, CO)
- …Skills: * Account Reconciliation * Balance Sheet Reconciliation * Bank Reconciliations * General Ledger * Journal Entries * Microsoft Excel * Month End ... Close * Oracle * SAP * Consolidations * Intercompany Accounting Requirements + Bachelors degree in accounting or finance from an accredited institution + Someone who is already a Sr Accountant, looking to move to another Sr role with more responsibility. +… more
- ASM Global (Baton Rouge, LA)
- …policies and procedures are being followed. + Responsible for some balance sheet reconciliations and the operating account bank reconciliation. + Reviews POS ... back of house reporting, pricing, updating and maintenance and storage. + This position is issued a company paid cell phone, which requires you to answer and reply to all phone calls, text messages, and emails in a timely manner (within 24 hours). It is also… more
- ManpowerGroup (Westbrook, ME)
- …prepare, and post both recurring and non-recurring journal entries + Analyze account balances, investigate anomalies, and complete reconciliations for balance ... sheet accounts + Identify and process necessary adjustments with supporting documentation + Assist internal and external audit teams by providing documentation and analysis as needed **Qualities we are looking for:** + Bachelor's degree in Accounting, Finance,… more
- Saint-Gobain (Wayne, NJ)
- …plans and decisions through monthly close activities, balance sheet reconciliations , operational controlling including manufacturing reporting, inventory & fixed ... + Experience with monthly close processes, journal entries, and balance sheet reconciliations for ensuring accurate and timely financial reporting + Operational and… more
- CoreSite (Denver, CO)
- …of income statements and balance sheets, completing common area maintenance (CAM) reconciliations for some data center customers and obtaining an understanding of ... and analysis + Prepare monthly journal entries, balance sheet reconciliations , fixed asset reports, accrual analyses, and financial close...for Cigna + Healthcare and dependent care flexible spending account (FSA) plans + Health saving account … more
- Koniag Government Services (Alexandria, VA)
- …in Microsoft Excel is required. Excel will be used extensively for database output reconciliations and as a data conversion tool for interfacing between EPM and Core ... and integration. + Macros and VBA scripting for automation of reconciliations and reporting. + Database connectivity (eg, importing and reconciling outputs… more
- Robert Half Accountemps (Lansing, MI)
- …handle complex accounting tasks independently. The role involves managing reconciliations , preparing financial reports, and ensuring compliance with accounting ... daily, identifying and correcting variances through journal entries. * Prepare monthly reconciliations of asset and liability accounts to maintain accuracy. * Manage… more