- Wells Fargo (New York, NY)
- …(AFS) and Held-To-Maturity (HTM) securities and loan portfolios, and the Reinsurance and Bank Owned Life Insurance (BOLI) businesses as part of the Finance group. IP ... also provides strategic and analytical balance sheet support to the bank , as well as a centralized, street-facing trade execution and hedging function and… more
- BrightSpring Health Services (Murfreesboro, TN)
- …weekly + Process accounts payable invoices including invoice coding to General Ledger Account and locations in Oracle, run and review weekly report, submit invoices ... weekly spend down and receipts for cardholders/users. Reconcile receipts to US Bank statements, obtain Executive Director approval and retain for audit. Reallocate… more
- Robert Half Accountemps (Bee Cave, TX)
- …Ensure compliance with lien waivers and Form 1099 requirements. * Reconcile monthly bank statements and credit card transactions. * Collaborate with team members to ... accounts payable and accounting functions. * Strong knowledge of coding invoices and account coding procedures. * Familiarity with ACH payments, check runs, and job… more
- Santander US (Brooklyn, NY)
- …to drive branch sales targets and contribute to the overall success of the bank . + Responsible for meeting the financial needs of the customer to include ... to grow banking relationships through branch activities, including calls, transactions, account support, portfolio management, and partner referrals. + Develop and… more
- Owens & Minor (Tallahassee, FL)
- …ensure compliance with internal controls. + Manages communications with cardholders and bank provider. Works as the primary contact for card setup, card deletions, ... card limits, fraud charge inquiries, and lost cards. Review new account setup and ensure timely closing of accounts as appropriate. + Analyzes and researches card… more
- CIBC (Chicago, IL)
- We're building a relationship-oriented bank for the modern world. We need talented, passionate professionals who are dedicated to doing what's right for our clients. ... the Banking Centre's overall performance. Manage and minimize risk to safeguard our bank , clients and shareholders. + **People leadership -** Lead and coach a high… more
- Robert Half Accountemps (Scotts Valley, CA)
- …entries and reconciliations. * Strong understanding of general ledger operations and account reconciliations. * Ability to perform accurate bank reconciliations ... the organization's overall financial operations. Responsibilities: * Perform detailed bank reconciliations for multiple accounts to ensure accurate financial… more
- Audacy (Philadelphia, PA)
- …by reviewing, verifying, and reconciling accounts. + Identify and remediate account discrepancies to produce accurate and credible financial information. + Resolve ... and adjust bank accounts for discrepancies between General Ledger and bank statements to ensure financial statements are accurate. + Review variances to ensure… more
- CIBC (Chicago, IL)
- We're building a relationship-oriented bank for the modern world. We need talented, passionate professionals who are dedicated to doing what's right for our clients. ... (https://www.cibc.com/en/about-cibc.html) **What You'll Be Doing** You will be joining CIBC's Bank USA Application Development team. As a Senior Software Engineer,… more
- Aerotek (Alum Bank, PA)
- …**Job Type & Location** This is a Contract to Hire position based out of Alum Bank , PA. **Pay and Benefits** The pay range for this position is $16.50 - $16.50/hr. ... employee and dependents) * Short and long-term disability * Health Spending Account (HSA) * Transportation benefits * Employee Assistance Program * Time Off/Leave… more