- Robert Half Finance & Accounting (Palo Alto, CA)
- …year-end close procedures, ensuring timely and accurate completion. * Perform bank reconciliations and review monthly financial statements, including profit and ... by preparing schedules, analyses, and necessary documentation. -Participate in annual audit including preparation of audit schedules, analyses, and support.… more
- Robert Half Finance & Accounting (Carmel, IN)
- …monitor high-volume transactions including wires, ACHs, and transfers. + Support bank reconciliation processes and ensure timely resolution of discrepancies. + ... to finance staff on best practices and system usage. Month-End Close & Audit Support + Maintain and review account reconciliations and financial transactions for… more
- Robert Half Finance & Accounting (Baltimore, MD)
- …commentary to senior accounting leaders. * Support the year-end financial statement audit and other required audits. * Assist in managing accounting operations for ... to support the accounting team's goals. Requirements * Proven experience in bank reconciliations and general ledger management. * Proficiency in preparing journal… more
- JPMorgan Chase (Plano, TX)
- …Services. As a Control Manager Senior Associate within the Commercial & Investment Bank , you will be responsible for the end-to-end execution of CORE requirements ... resolutions, and operational risk events. + Engage with legal, compliance, risk, audit , and technology control partners to manage regulatory and reputational risk. +… more
- ABM Industries (Sugar Land, TX)
- …ABM Industries; manages a team that performs the processing of cash, bank , accounts payable, prepaid expenses, commissions and other general expenses accounting ... ESC teams, and stakeholders and partners in Source-to-Pay, FP&A, IT, HR, Internal Audit , and others. Ensure there is two-way communication and a feedback loop to… more
- Delaware North (Nashua, NH)
- …Hampshire. The Night Auditor will be responsible for performing all night audit functions, including balancing spreadsheets, serving as the Front Office Clerk during ... reimbursement. **What will you do?** + Run the night audit function, reconcile credit card payments, input sales and...shift closing, drop cash and check payments, securing the bank at all times, and follow proper cash handling… more
- Santander US (Philadelphia, PA)
- …and educate them on self-service options. + Conduct cash counts and maintain accurate audit logs. + Support the teller line, use coaching tools, and provide feedback ... constantly changing environment. - Required. + Proficient in cash handling and maintaining audit logs. + Excellent customer service skills and a passion for helping… more
- Robert Half Finance & Accounting (Chico, CA)
- …and performing account reconciliations. * Collaborate with auditors by coordinating audit processes and providing requested information. * Assist in the development ... ledger management and journal entry preparation. * Proficiency in account and bank reconciliations. * Ability to independently analyze financial data and present… more
- Robert Half Finance & Accounting (Stamford, CT)
- …a hands-on role assisting with financial reporting: journal entries, account reconciliation, audit support, etc.. The firm is known for reasonable hours, excellent ... Requirements: * Minimum of 2+ years' experience in accounting or external audit . * Proficiency in month-end close processes, including journal entries and… more
- Robert Half Finance & Accounting (Los Angeles, CA)
- …financial management efforts. + Reconcile General Ledger accounts and monthly bank accounts while investigating unreconciled differences. + Assist with annual budget ... inventory tracking and depreciation schedules. + Prepare detailed compliance reports (eg, audit requests, sales and use tax filings, census reports). + Support the… more