- Niagara Bottling LLC (Diamond Bar, CA)
- …revenue finance planning, forecasting, and reviews, providing insights to support National Account Managers and the sales support team in areas such as contracts, ... + Lead revenue-focused financial planning, including pricing analysis, gross-to-net reconciliations , and evaluation of customer contracts in partnership with Sales… more
- City of New York (New York, NY)
- …to the appropriate distribution group - Deposit checks into the collection account using a check scanner. Balance deposit batches prior to their submission ... to the appropriate FMS Balance Sheet Accounts - Assist with the reconciliations of pension periodic, pension non-periodic, 3rd party disability, Management Benefit… more
- ManpowerGroup (Farmington Hills, MI)
- …will play a key role in supporting the accounts payable processes, vendor reconciliations , and journal entry preparation. This will be a long-term (12-months plus) ... Vendor Statements: Investigate discrepancies, follow up with vendors, and ensure account balances are accurate. * Prepare Journal Entries: Assist in month-end… more
- Robert Half Finance & Accounting (Indianapolis, IN)
- …+ Supervise and mentor accounting staff involved in tax preparation and account maintenance. + Drive process improvements to enhance efficiency and accuracy in ... the highest level of confidentiality. + Assist with special projects, reconciliations , and other payroll/accounting tasks as needed. Requirements + Bachelor's degree… more
- Sage Hospitality Group (Breckenridge, CO)
- …accounts by reviewing contracts, meeting with sales department, visit key account contacts in person and by phone. **Qualifications** **Education/Formal Training** A ... or interpretation to arrive at logical conclusions. + Office Management, Bank Reconciliations , Preparation of State and Federal Reports, Training of Accounting staff… more
- Kimpton Hotels & Restaurants (WI)
- …payable and cash disbursements. + Review vendor statements and follow-up on account balances. + Maintain required records, reports, and files in an organized ... in preparing the G/L for financial reports. + Assist in the balance sheet reconciliations on a monthly basis. + Post accounts to the general ledger for payroll.… more
- Robert Half Finance & Accounting (Wilmington, DE)
- …issues. This Credit Specialist will also process payments and refunds, update account records, and provide assistance where collection efforts are needed. Primary ... analyze credit worthiness * Identify delinquent accounts * Perform payment reconciliations * Assist customer service department * Prepare monthly customer statements… more
- Zantech (Aberdeen Proving Ground, MD)
- …financial management programs including MICP, audit activities, and financial reconciliations with expertise in DoD audit policies and procedures. Responsibilities ... with DoD audit policies including: + Joint Reconciliation Program (JRP) + Dormant Account Review- Quarterly (DAR-3 Q) Tool + Risk Management and Internal Controls… more
- Church & Dwight Co., Inc. (Ewing, NJ)
- …with appropriate recommendations to mitigate while partnering with respective Account Team and Sales Finance colleagues + Daily/weekly/monthly standard financial ... manufacturing accounting staff. + Monthly and Quarterly Balance Sheet reconciliations including Rebates, Production Variances, Plants accruals, Soda Ash prices,… more
- JPMorgan Chase (Newark, DE)
- …for trade execution and ask that the remaining commission be allocated to a client account , where the investment manager would accrue CSA credits and use them to pay ... ranging from daily control functions, trade break investigations and reconciliations , vendor documentation, legal documentation, tax governance to accommodating ad… more