- CoreCivic (Watonga, OK)
- …payable documents, check requests, petty cash reimbursements and bank reconciliations for accuracy. This includes monitoring and controlling all transactions ... inmate fund. + Assigns or verifies assignment of proper account codes to purchase orders, accounts payable, P-card purchases...to ensure financial transactions are allocated to the appropriate account . + Supports and assists with the annual FF&E… more
- New York State Civil Service (Batavia, NY)
- …publications, Departmental databases,. Utilize methods and processes to resolve complex reconciliations of taxpayer accounts including, but not limited to, ... account adjustments, error corrections, credit payments, refunds and liabilities,...debt case and enters appropriate follow-up dates, taking into account the impact upon the case flow based on… more
- Robert Half Accountemps (Lombard, IL)
- …vendor statements in Excel by adding columns to track statuses and account updates. * Reconcile vendor accounts by identifying and resolving discrepancies promptly ... * Assist in preparing financial reports and summaries related to accounts payable and reconciliations . The hourly pay rate range of this position is $26 to $30, plus… more
- Sage Hospitality Group (Portland, OR)
- …accounts by reviewing contracts, meeting with sales department, visit key account contacts in person and by phone. **Qualifications** **Education/Formal Training** A ... to arrive at logical conclusions. + Office Management, Bank Reconciliations , Preparation of State and Federal Reports, Training of...and public transportation costs by using our pre-tax savings account . + $50 TriMet monthly subsidy! + Eligible to… more
- Robert Half Accountemps (Amherst, NY)
- …new accounts paperwork i. Preparation of all documents - multiple depending on account type, delivery to clients, review of returned documents for accuracy and ... custodians and verification of all follow-through tasks by custodian. vi. Client account maintenance i. Multi-stepped preparation of paperwork, delivery to and from… more
- Banco Popular Puerto Rico (Brooklyn, NY)
- …basic inquiries relative to opening of accounts to ensure customer knowledge of account features + Stay abreast of changes to banking environment, bank competition ... accounts, determining reason for dissatisfaction, and offer possible alternatives; process account maintenances in a compliant manner Risk Management + Support the… more
- Brivo (Bethesda, MD)
- …for monitoring and maintaining assigned accounts - Customer calls, emails, slacks, account adjustments, small balance write off, customer reconciliations and ... regarding collection issues, process customer payments/refunds, process and review account adjustments, resolve client discrepancies and short payments. Responsible… more
- HUB International (Donaldsonville, LA)
- …+ **Medical/dental/vision insurance and voluntary insurance options** + **Health Savings Account funding** + **401k matching program** + **Company paid Life and ... retiree benefit information and monthly reporting to retirement system + Reconciliations of monthly insurance invoices + Handle administration of additional benefits… more
- Robert Half Accountemps (Nottingham, PA)
- …Clearing House (ACH) transactions and check runs with precision. * Perform account coding and journal entries to maintain accurate financial records. * Reconcile ... payable or a related field. * Proficiency in coding invoices and managing account coding. * Strong understanding of journal entries and bank reconciliations .… more
- Saint-Gobain (Taunton, MA)
- …Ensure timely and accurate month-end closing, including journal entries, reconciliations , and variance analysis. Prepare and distribute management reports that ... Prescription Drug, Vision, and Dental Insurance + Healthcare Saving Account and Flexible Spending Account options +...+ Healthcare Saving Account and Flexible Spending Account options + LiveWell Wellness Program + Employee Assistance… more