- Bank of America (New York, NY)
- …Acknowledge (https://ghr.wd1.myworkdayjobs.com/Lateral-US/job/New-York/Vice-President--Valuation-Analyst\_25038059-2) **Job Description:** At Bank of America, we are ... we make an impact in the communities we serve. Bank of America is committed to an in-office culture...valuation analysis, and ensure accurate curve marking and trade reconciliation . + Utilize financial derivatives pricing models (Yield Curve… more
- Bank of America (Dallas, TX)
- …Cash-and-Transportation-Services\_25036955) **Job Description:** At Bank of America, we are ... rewarding performance, and how we make an impact in the communities we serve. Bank of America is committed to an in-office culture with specific requirements for… more
- Michaels (Lexington, KY)
- …processes + Manage and execute shrink and safety programs + Assist with cash reconciliation and bank deposits + Assist with inventory processes to include Return ... to Vendor (RTV) and Advance Shipping Notice (ASN) activities as needed + Assist with the onboarding of new Team Members + Train, observe, and coach the customer experience team (sales floor and cashier) to achieve results; participate in the performance… more
- Billings Clinic (Billings, MT)
- …provides cash receipts for all transactions. * Maintains and reconciles cash drawer bank by following written reconciliation policies and procedures - ensuring ... each cash drawer balances daily (Front Desk and ED Discharge areas) * Identifies needs and sets goals for own growth and development; meets all mandatory organizational and departmental requirements. * Maintains competency in all organizational, departmental… more
- Jackson County Medical Care Facility (Jackson, MI)
- …payroll, accurately account for all banking transactions, with regular preparation and reconciliation of bank statements, as well as support daily facility ... operations as a licensed Assistant Administrator. Responsibilities + Lead development and monitoring of annual operating and capital budgets. + Ensure accurate and timely payroll administration for 300+ employees, including compliance with wage rules,… more
- Robert Half Finance & Accounting (Centennial, CO)
- …Ensuring accurate and efficient recording of project costs and revenues * Conducting reconciliation of bank accounts and other general ledger accounts * ... Assisting with annual and periodic insurance audits * Preparing and posting journal entries to close financial periods every month * Offering support for accounts payable and accounts receivable functions * Assisting in the preparation of reports for accounts… more
- University of Miami (Miami, FL)
- …+ Processes large amounts of currency and performs end of day cash-drawer reconciliation , including bank deposits. + Interfaces effectively with all members of ... the healthcare team. + Meets all established key performance indicators: Co-pay, Previous Balances, Estimate Collections, Patient Satisfaction, Accuracy Rates, and Processing Time. + Maintains a close working relationship with all members of the clinical team… more
- SCI Shared Resources, LLC (Lynnwood, WA)
- …accurately + Produce and maintain same day checks, trust claims, and the reconciliation of bank records. + Operate office equipment such as photocopiers, ... printers, fax machines, etc. + Input statistical information into a CRM system and other databases + Use of SOX compliance software to reconcile daily, weekly, and monthly reports **Requirements:** + Proficient in Microsoft Office Suite (Word, Excel, Outlook)… more
- RTX Corporation (Tewksbury, MA)
- …development of the long range and annual operating plans + Foreign currency and bank hedging analysis + Invoice reconciliation with Joint Venture and Landed ... Company partners + Business Capture strategy and proposal generation (Gate 3 & 4) **Qualifications You Must Have:** + Typically requires BA/BS in Finance, Accounting, Economics or related field & 5 years finance work experience; OR an Advanced degree and 3… more
- Burns & McDonnell (Kansas City, MO)
- …in a timely and accurate manner. + Provide Treasury team support for bank account maintenance and reconciliation where necessary. + Prepare and distribute ... annual 1099 tax forms in accordance with IRS guidelines. + Research and document outstanding or voided checks, ensuring compliance with unclaimed property laws. + Support month-end close processes, including reconciliations and reporting tasks. + Perform other… more