- Robert Half Finance & Accounting (Houston, TX)
- …Oversee the general ledger, including account reconciliations, journal entries, and bank statement reviews. * Generate financial reports that detail income, ... estimates and ensure compliance with established financial procedures. * Reconcile bank statements to ensure alignment with company records and resolve… more
- FirstBank PR (Miami, FL)
- …types of Commercial loans, including Commercial Real Estate loans, and follow the Bank 's lending goals, policies and procedures. + Interview and counsel existing and ... available options and programs; obtaining financial information and documentation, cross-sell Bank 's financial services or products. + Respond to daily inquires from… more
- Akwesasne Mohawk Casino Resort (Hogansburg, NY)
- …on the event. + Casino Cage & Credit: (6wk training) audit consisting of; + The Main Bank , Satellite Bank , Chip Bank , and front line cashiers. + Generating a ... of using two currency units with all the revenue sources. + Administrative review: will pertain to the review, verification, documentation and distribution of… more
- Mass Markets (IA)
- …aging reports, and reconciling accounts. + Record routine journal entries and bank transactions. + Enter accounts payable bills and credit card transactions as ... in financial data, making necessary corrections and adjustments. + Conduct bank reconciliations. + Provide support to accounting team members as required.… more
- Mass Markets (Addison, TX)
- …aging reports, and account reconciliation. + Record routine journal entries and bank transactions. + Process accounts payable bills and credit card transactions as ... + Investigate, correct, and adjust discrepancies in accounting data. + Conduct bank reconciliations. + Collaborate with and support team members across departments.… more
- Mass Markets (TX)
- …reports, and reconciling customer accounts. + Record routine journal entries and bank transactions. + Enter accounts payable bills and credit card transactions as ... + Investigate, correct, and adjust discrepancies in accounting data. + Conduct bank reconciliations. + Collaborate with and support other team members as needed.… more
- Robert Half Finance & Accounting (Plymouth, MN)
- …the management of general ledger, preparation of financial statements, and bank reconciliation. Responsibilities * Oversee and manage the general ledger, ensuring ... analyze financial statements, providing detailed reports and insights. * Conduct bank reconciliation tasks regularly to confirm the company's records are consistent… more
- State of Michigan (Hastings, MI)
- …a copy of your official college transcripts; OR at least four years of administrative support experience in a human services or office setting, including two years ... 45 term credits) and at least three years of administrative support experience in a human services or office...applied for food assistance. He provided you with a bank statement which gave the balance of his checking… more
- ConnectLife (Williamsville, NY)
- …As a federally designated not-for-profit organ procurement organization and community blood bank , we save and enhance lives through organ, eye, tissue and blood ... 24 hour call on working days, ability to do administrative work from home, when not on hospital rounds...to maximize donor potential. 5. Provide ongoing education to administrative and clinical hospital staff regarding the organ donation… more
- Banner Health (Tucson, AZ)
- …Arizona **Department Name:** Cardiology Pgm Admin **Work Shift:** Day **Job Category:** Administrative Services Find your path in health care. We want to change ... and outbound calls, scheduling for multiple facilities for cardiac testing, provides administrative support. **This is a full-time position, Monday - Friday 8:00 am… more