- Robert Half Finance & Accounting (San Jose, CA)
- …with a strong focus on construction projects. * Expertise in account reconciliation , bank reconciliations, and balance sheet analysis. * Proficiency in ... managing general ledger operations and preparing journal entries. * Advanced knowledge of month-end close processes and financial reporting. * Familiarity with construction accounting practices and job cost tracking. * Strong Microsoft Excel skills for… more
- REEDS Jewelers (Raleigh, NC)
- …relied upon for maintaining daily, weekly, and monthly reports, shipping and receiving, reconciliation , bank deposits, and ringing up store sales. Upon proven ... performance, additional responsibilities may be assigned by management, including becoming a key holder and opening and closing the store. The ideal candidate for this role will have retail and/or administrative experience, understand the organization needed… more
- PCI Pharma Services (Rockford, IL)
- …bank reconciliations with variety of complexity for all accounts. + Perform daily reconciliation of Bank to Book activity. + Research and resolve questions ... ledger accounting processes and activities. + Prepare audit schedules related to bank accounts, bank reconciliations, and fixed assets. + Documenting internal… more
- Affinius Capital (San Antonio, TX)
- …Primary responsibilities include the administration of cash transactions, maintenance and reconciliation of bank accounts, cash positioning and analysis, fraud ... to Fund Administrator and other departments. **Essential Duties:** + Reconcile assigned bank accounts; partnering with Fund Administrator to resolve bank and… more
- Doosan Bobcat (Minneapolis, MN)
- …including reconciling statements against weekly accounts payable files to prior day bank statements + Utilizes cash reconciliation to prepare and distribute ... daily global cash reports for upper management + Assists in controlling the monthly global cash flow forecast operating system and supports team in preparation of rolling cash forecast + Assists with the monthly intercompany Netting cycle between entities… more
- Buffalo Public Schools (Buffalo, NY)
- …and maintains revenue reports for the Division of Accounting + Assists in the reconciliation of bank statements + Assists in preparing departmental budget by ... to a variety of general accounting assignments. Work not only involves reconciliation and balancing activities but preparation of non-complex financial reports, data… more
- Robert Half Accountemps (Greenville, SC)
- …entries, including adjustments as needed. * Conduct account analysis and reconciliation , including bank statements and intercompany general ledger accounts. ... receivable functions. * Proficiency in handling billing operations and account reconciliation tasks. * Strong knowledge of general accounting principles and… more
- Robert Half Accountemps (Lavonia, GA)
- …prepare journal entries, including adjustments. * Conduct account analysis and reconciliation , including bank statements and intercompany accounts. * Maintain ... and posting journal entries. * Familiarity with general ledger management and reconciliation . * Ability to analyze financial accounts and ensure accuracy. *… more
- Robert Half Accountemps (Paterson, NJ)
- …smooth daily operations. * Oversee payment processing activities, including cash reconciliation , timely bank deposits, and monthly reconciliations in ... receivable and billing functions. * Knowledge of cash handling and reconciliation processes. * Familiarity with CRM systems and financial services platforms.… more
- Robert Half Finance & Accounting (Louisville, KY)
- …of accurate financial statements during month-end close. * Conduct thorough analysis and reconciliation of bank transactions across all accounts. * Compile and ... of preparing and auditing financial statements. * Expertise in account reconciliation and journal entry preparation. * Familiarity with construction accounting… more