- 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
- H&R Block (Crest Hill, IL)
- …Perform complex accounting tasks, including detailed data entry, comprehensive bank reconciliations , and advanced payroll management. + Assist in the preparation and ... providing expert advice and exceptional customer service. + Partner with Account Managers and Tax Advisors, providing advanced bookkeeping and payroll information… more
- MTA (New York, NY)
- …are responsible for assisting in the performance of the record-keeping, account reconciliation, journal entries, fixed asset capitalization and retirement, month-end ... of the audited financial statements, including footnotes, supporting schedules, and account analysis required for financial reporting . + Provide information as… more