- NTT DATA North America (Phoenix, AZ)
- …receipt to payment and reconciliation Oversee high-volume, high-value invoice processing ensuring accuracy, timeliness, and compliance Reviewing and approving ... controls Maintain governance over vendor onboarding formalities, review and approve vendor bank detail changes to mitigate fraud risk and act as primary escalation… more
- UnityPoint Health (Waterloo, IA)
- …for performing laboratory tests and analyses in the hematology, blood bank , special chemistry, chemistry and microbiology departments in the laboratory. The ... Responsibilities + Performs routine lab testing in hematology, blood bank , special chemistry, chemistry and microbiology departments following proper laboratory… more
- Robert Half Accountemps (Los Angeles, CA)
- …payments from clients. * Perform basic accounts payable duties, such as processing payments and tracking outstanding balances. * Create and maintain customized ... client requirements and improve financial reporting. * Reconcile accounts and bank statements to ensure accuracy and resolve discrepancies. * Communicate effectively… more
- Arrow Financial Corporation (Plattsburgh, NY)
- …exemplary customer service standards. In addition to the accurate and timely processing of customer transactions, the Head Teller answers complex inquiries, manages ... federal, state, or local legally protected classes. As a multi- bank holding company, Arrow Financial Corporation has over $4...in many recognitions from the nation's leading publications and bank -rating firms. The salary range for this position is… more
- Citigroup (New York, NY)
- …service and disburse cash, securities and physical documents. Citi Private Bank offers integrated and flexible escrow service solutions with global execution ... capabilities. Through an experienced and dedicated Private Bank escrow team, Citi can facilitate a broad range...other product partners to ensure expedient, efficient and seamless processing + Provide the highest level of customer service… more
- Baystate Health (Springfield, MA)
- …authorized by departments. Maintain control log for journal entry processing . Clear suspense post transactions. Reconcile accounts. Review reporting package. ... cash receipts. **8)** Responsible for preparation and coordination of monthly bank reconciliations. Perform a cash proof, reconciling cash and investment accounts.… more
- Sage Hospitality Group (Santa Monica, CA)
- …Controls cash transactions at the front desk and maintains complete responsibility for personal bank as specified by hotel bank agreement policy. + Maintains a ... computer, calculator and telephone keyboards, for cash handling and paperwork processing . **Physical Demands** The physical demands described here are representative… more
- JPMorgan Chase (New York, NY)
- …to the Global Investment Banking business within the Commercial & Investment Bank line of business (LOB). **Job Responsibilities** + Identify compliance and conduct ... qualifications, capabilities, and skills** + 7+ years' experience within an investment bank , law firm or regulator covering investment banking and equity capital… more
- Aston Carter (Mclean, VA)
- …financial reviews, month-end close activities, project setup, workforce assignments, bank reconciliations, and other accounting duties as needed. Responsibilities + ... allocation of resources and accurate labor cost tracking. + Perform monthly bank reconciliations to ensure accuracy and resolve discrepancies promptly. + Serve as… more
- Robert Half Accountemps (Arlington Heights, IL)
- …payable (AP), accounts receivable (AR), and general ledger entries. * Perform bank reconciliations to ensure financial accuracy and resolve discrepancies. * Utilize ... formulas in Microsoft Excel to streamline financial analysis. * Ensure timely processing of invoices and payments while maintaining detailed records. * Provide… more