- Sage Hospitality Group (Irvine, 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
- Sage Hospitality Group (Denver, CO)
- …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
- Robert Half Finance & Accounting (Stockton, CA)
- …ACCOUNTABILITIES 1. Maintain all records including financial, payroll, tax returns, bank statements, etc. in a secure, approved and confidential manner. 2. ... at less than 60 days old. 7. Assure accurate reporting and computer processing of parts sales and inventory control through continuous review of transactions, as… more
- Paychex (Rochester, NY)
- …the credit of new and existing client's, as well as existing clients processing outside their normal pattern, or greater than $500,000 in payroll liability per ... check date. + Contacts clients processing over $750,000 of payroll liability to have them...+ Works directly with banking partners to verify clients' bank account authenticity and funds availability prior to releasing… more
- Marriott (Los Angeles, CA)
- …**POSITION SUMMARY** Assist staff with expediting problem payments (eg, problems processing credit card). Follow up with guest regarding satisfaction with ... Review shift logs/daily memo books and document pertinent information in logbooks. Count bank at the beginning and end of shift. Balance and drop receipts according… more
- Marriott (Truckee, CA)
- …**POSITION SUMMARY** Assist staff with expediting problem payments (eg, problems processing credit card). Follow up with guest regarding satisfaction with ... Review shift logs/daily memo books and document pertinent information in logbooks. Count bank at the beginning and end of shift. Balance and drop receipts according… more
- Marriott (Los Angeles, CA)
- …**POSITION SUMMARY** Assist staff with expediting problem payments (eg, problems processing credit card). Follow up with guest regarding satisfaction with ... Review shift logs/daily memo books and document pertinent information in logbooks. Count bank at the beginning and end of shift. Balance and drop receipts according… more
- Nestle (Solon, OH)
- …management of a team of local data analysts responsible for critical bank and market control performance, and project-based initiatives impacting the Source-to-Pay ... Center of Scale (CoS) shared services team to ensure timely and accurate processing of vendor requests in accordance with operational and Service Level Agreements… more
- Robert Half Finance & Accounting (Houston, TX)
- …the financial reporting process, ensuring accuracy and timeliness. + Perform regular bank reconciliations and prepare cash/deposit reports. + Track project costs and ... regulations. + Support payroll operations, including commission calculations and backup processing . + Reconcile balance sheet accounts and maintain general ledger… more
- Mohegan Sun (Wilkes Barre, PA)
- …Cage Operations functions. This includes, but is not limited to, cage cashiering, chip bank , marker bank , poker bank , ES cashiering and impressment ... currency and removal of chips. A Cage Cashier who performs functions outside the Poker Room Bank may not perform Poker Room Bank functions on the same day during… more