- GCI Communication Corp (Anchorage, AK)
- …cloud-voice equipment, prepaid products, rural broadband products, and more. Ensures that account or order status is accurately recorded in order systems. + Maintain ... asset & inventory management programs. + Perform inventory counts and reconciliations . + Provide financial analysis of inventory, revenues, expenses, and costs… more
- Stanley Black and Decker (Verona, MS)
- …accruals (compensation/benefits), stat entries, general reporting and balance sheet reconciliations . + Inter-Company activities with sister plants and global ... about the status of a completed application or resetting an account password. Know Your Rights: Workplace discrimination is illegal (eeoc.gov)… more
- Ascendis Pharma (Princeton, NJ)
- …policy alignment. + Manage reviews and approvals of monthly accruals, reconciliations , utilization files (eg, rebates, 340B claims, disputes), and reporting packages ... Assistance Program + Employee Discounts + Professional Development + Health Saving Account (HSA) + Flexible Spending Accounts + Various incentive compensation plans… more
- Robert Half Finance & Accounting (Houston, TX)
- …software, ensuring proper documentation and reporting. * Handle monthly cash reconciliations and process wire transfers through banking systems. * Perform other ... of 3 years of experience in accounting * Strong knowledge of account reconciliation and financial reporting processes * Proficiency in using accounting software… more
- State of Georgia (Dekalb County, GA)
- …functions, including accounts receivable, general ledger, asset management, account reconciliation, cash management and financial reporting. Duties include ... to: independently reviewing/approving financial transactions, processing complex receivables, performing reconciliations , developing internal financial reports, and completing and analyzing… more
- Robert Half Finance & Accounting (Arlington, VA)
- …and complex entries to support complex transactions. . Perform monthly balance sheet reconciliations for accounts assigned and related account schedules . Assist ... with the external audit process and provide supporting schedules and requested information to support the year end external audit and quarterly reviews . Support management with the development of key accounting processes as well as design of internal controls… more
- HUB International (Brentwood, TN)
- …transaction processing + Demonstrate solid understanding of the balance sheet account reconciliation process; complete accurate and compliant reconciliations in ... accordance with Company requirements + Responsible for ensuring that G/L offsets and supporting source adjustments are identified and cleared prior to deadline + Timely follow-up on clearing of reconciling transactions + Participate in activities and ad-hoc… more
- Robert Half Finance & Accounting (Newark, DE)
- …accounts, monitoring expense reporting, preparing journal entries, assisting with bank reconciliations , and participating in the development and tracking of budgets. ... End/Year End Close . General Ledger Maintenance . Budgeting & Forecasting . Account Reconciliation . Daily, Weekly, Monthly Financial Reporting . Variance Analysis .… more