• Bookkeeper

    Robert Half Accountemps (Salem, OR)
    …report financial results on a regular basis to management + Conduct monthly reconciliation of every bank account Requirements Skills & Qualifications: + Proven ... bookkeeping experience, with a focus on accounts payable, accounts receivable, and payroll + Solid understanding of basic bookkeeping and accounting payable/receivable principles + High degree of accuracy and attention to detail + Excellent data entry skills… more
    Robert Half Accountemps (09/12/25)
    - Related Jobs
  • Accounting and Finance Coordinator - Soldier Field

    ASM Global (Chicago, IL)
    …before, during, and after the event is executed seamlessly + Conduct monthly reconciliation of multiple bank statements to ensure accuracy and consistency + ... up-to-date financial records by recording transactions, updating ledgers, and reconciling bank statements + Handle various administrative duties related to the… more
    ASM Global (07/15/25)
    - Related Jobs
  • Patient Services Coordinator III

    Novant Health (Charlotte, NC)
    …and correct errors before releasing charges. Complete individual and/or practice reconciliation report including bank deposit slip. Cross-training required in ... multiple administrative support functions. + Complete accurate patient demographic and insurance information in system. Greet patient, verify and correct any demographics and insurance information, copy insurance card and ensure copy is added to patient… more
    Novant Health (09/25/25)
    - Related Jobs
  • Chief Financial Officer (CFO)

    Community Health Systems (Roswell, NM)
    …objectives. + Oversees the accuracy of General Ledger entries and ensures the timely reconciliation of all bank accounts to the General Ledger. + Monitors ... hospital cash receipts and disbursements for accuracy and adherence to internal control procedures. + Prepares and presents timely and accurate monthly departmental operating reports to hospital staff and senior leadership. + Prepares monthly exhibits for the… more
    Community Health Systems (09/13/25)
    - Related Jobs
  • Patient Access Representative 3 (On-Site)

    University of Miami (Doral, FL)
    …Collects and processes large amounts of currency and performs end of day cash-drawer reconciliation and timely bank deposits. + Assists department in meeting all ... established key performance indicator goals: Co-pay, Previous Balances, Estimate Collections, Patient Satisfaction, Accuracy Rates, and Processing Time. + Maintains a close working relationship and open communication with all members of the healthcare team to… more
    University of Miami (09/12/25)
    - Related Jobs
  • Patient Access Representative 1 (On-Site) (H)

    University of Miami (Miami, FL)
    …+ Collects and processes large amounts of currency and performs end of day cash-drawer reconciliation and timely bank deposits. + Cross trained to carry out all ... Front-End Revenue Cycle and Clinical Support functions and able to float across all areas and assist as needed. Knowledge of health care regulatory guidelines and compliance requirements including but not limited to: OSHA, HIPAA, JC, AHCA, EMTALA, and CMS.… more
    University of Miami (09/12/25)
    - Related Jobs
  • Patient Access Representative 2 (On-Site) (H)

    University of Miami (Boca Raton, FL)
    …+ Collects and processes large amounts of currency and performs end of day cash-drawer reconciliation and timely bank deposits. + Cross trained to carry out all ... Front-End Revenue Cycle and Clinical Support functions and able to float across all areas and assist as needed. + Knowledge of health care regulatory guidelines and compliance requirements including but not limited to: OSHA, HIPAA, JC, AHCA, EMTALA, and CMS.… more
    University of Miami (09/05/25)
    - Related Jobs
  • Supported Living Coordinator

    Job Path (New York, NY)
    …with support in accordance with agency policies, this includes petty cash reconciliation , personal allowance, bank accounts, purchases. Other Duties + ... Participate in special projects and committees. + Must be available to be on call as required by the on-call rotating schedule. Qualifications and Skills: + High school diploma or equivalent is required + Bachelor's Degree (or equivalent experience) and at… more
    Job Path (07/30/25)
    - Related Jobs
  • Staff Accountant

    Brunswick (Mettawa, IL)
    …on monthly basis and reconcile with collections from franchises + Perform daily reconciliation of multiple bank accounts to ensure timely cash tracking and ... resolve any open items. + Own assigned balance sheet accounts and support variance analysis of income statement activity. + Assist with internal and external audit preparations by gathering documentation and responding to inquiries. + Partner on ad-hoc… more
    Brunswick (07/22/25)
    - Related Jobs
  • Staff Accountant

    Aston Carter (Durham, NC)
    …general ledger entries, and account reconciliations * Daily review and entry of bank transactions into the general ledger, reconciliation of credit card ... * Support ad hoc financial analysis as needed Skills Accounting, Reconciliation , Accounts payable, Month-end, Journal entry, General ledger Top Skills Details… more
    Aston Carter (09/13/25)
    - Related Jobs