- Southern States Cooperative, Inc (Leesburg, VA)
- …for new and recurring orders. + Effectively perform various office accounting functions and system reconciliation according to established procedures. ... for accuracy and pricing. Prepare, process, verify and deliver daily bank deposits to financial institution. + Prepare reports, spreadsheets, general correspondence,… more
- Robert Half Accountemps (Vadnais Heights, MN)
- …journal entries - Demonstrated knowledge of accounts payable, accounts receivable, account/ bank reconciliation , etc. - Foundational knowledge in Microsoft Excel ... Heights. The staff accountant is responsible for applying generally accepted accounting principles and procedures to analyze financial information, prepare accurate… more
- Cornell Cooperative Extension (New York, NY)
- …framework for the Association. Required Qualifications: + Associate's Degree in Accounting , Business, Finance, or related field, or GED/High School Diploma and ... of the position including high level of familiarity with complex non-profit accounting with multiple cost centers and budget preparation and management, accounts… more
- The Legal Aid Bureau of Buffalo, Inc. (Buffalo, NY)
- …review and month-end close function including preparing financial statements + Review monthly bank reconciliation as prepared by Financial Analyst + Confers with ... Bureau of Buffalo, Inc.is seeking a Controller to manage and direct the accounting operations for the organization conforming to GAAP including the supervision of … more
- CityServiceValcon (Kalispell, MT)
- …the AR department. Assists with special projects as needed. You'll report to the Accounting Manager in our Kalispell corporate office, focusing on these key ... payments to customer AR accounts. + Create the daily bank deposit and balance to the AR journal. +...High School diploma or equivalent + Four years of accounting experience + Experience in reconciliation and… more
- Landscaping by J. Michael (Marshfield, MA)
- …client invoices, AIA Billig formats and actively managing collections. + Manage monthly reconciliation of company bank accounts, credit cards, and petty cash ... day-to-day operations. This role requires a candidate with a Bachelor's Degree in Accounting or a related field, full mastery of QuickBooks Online with a minimum… more
- Robert Half Accountemps (Petaluma, CA)
- …with excellent analytical skills, a strong understanding of property management accounting , and a commitment to operational excellence. Key Responsibilities: + ... researching requirements for new property acquisitions. + Journal Entries & Reconciliation : Generate adjusting journal entries with backup documentation and perform… more
- Banc of California (Santa Ana, CA)
- …Daily Cash Settlement and Daily Cash Position Reports, providing them to the Bank 's Treasury Department. + General Ledger reconciliation . + Assists and supports ... CAREER** Banc of California, Inc. (NYSE: BANC) is a bank holding company headquartered in Los Angeles with one...of the Wire Transfer Department. Assists the Wire Transfer Manager as directed; creates, verifies, issues, and receives wire… more
- Elderwood (Buffalo, NY)
- …Responsibilities Accounts Receivable Clerk Responsibilities: + Reports to Pharmacy Revenue Cycle Manager + Daily Bank Deposits for three pharmacy locations. + ... any cash posting discrepancies with internal/external customers. + Month End Cash Reconciliation between Accounts Receivable Software (Sage) & Bank Statements… more
- Montrose Memorial Hospital (Montrose, CO)
- …per hour 35.12 - 61.41 | Temporary This role will report directly to the Accounting Manager and will be responsible for the preparation of monthly general ledger ... candidate will bring a working understanding of the monthly close and account reconciliation process to align with US GAAP standards Job Responsibilities: + Prepare… more