- Robert Half (Denver, CO)
- …delivery leads, and client stakeholders to create stand-out Oracle Order to Cash and Fulfillment offerings powered by Oracle. + Analyzing technical and functional ... - $140,000.00 Our annual bonus plan provides eligible employees additional cash and/or discretionary stock compensation opportunities. Below is the bonus target… more
- Kimpton Hotels & Restaurants (Miami Beach, FL)
- …of your responsibilities include:** + Prepare, record, and process accounts payable and cash disbursement, and accounts receivable and cash receipts. + Prepare ... of accounts to the general ledger for: accounts receivable, cash receipts, accounts payable, cash disbursements and...or adjustments. + Assist comptroller with the year-end financial audit . + Maintain required records, reports, and files in… more
- Community Hospital Corporation (Plano, TX)
- …accounting functions throughout the Hospital, which includes all financial reporting, cash management, budgeting and auditing. Responsible for performing a variety ... statements and coordinate with outside departments/companies and banks in cash procedures and research problems. Coordinates and monitors ...all aspects of all audits including the annual financial audit . + Pulls all data to prepare and assist… more
- CBRE (Melville, NY)
- …+ Work with client's auditors for interim and year end audits; draft annual audit reports. + Compile, analyze, and track financial data by performing detailed review ... and capital expenditures variance to budget. + Support the daily activities of cash management, such as: preparing monthly bank reconciliations, reviewing cash … more
- Wesleyan University (Middletown, CT)
- …to ensure the accuracy and efficiency of accounting reconciliation, cash management, portfolio reporting, and document administration. Responsibilities Include: All ... aspects of investment operations, including: + Perform daily reconciliations of cash and securities transactions with banking and brokerage partners. + Conduct… more
- Zurich NA (Schaumburg, IL)
- …in Schaumburg, IL. As a Treasury Analyst, you will be responsible for Cash & Liquidity Management services across Zurich North America's Business Units and legal ... when needed. Responsibilities for this role: + Prepare and analyze the company's daily cash forecasting and cash positioning to cover cash commitments. +… more
- AIG (New York, NY)
- …resolve discrepancies in payments and related suspense activity, ensuring proper cash application and accurate financial reporting of activity. Key Responsibilities: ... timely clearance of insurance claims disbursements through subledgers, ensuring cash is applied properly against claims; leading the Identification, investigation… more
- North Shore Bank (Danvers, MA)
- …as set by the branch manager. + Adheres to internal controls/policies regarding audit , dual control, security, regulatory compliance, cash limits and robbery ... transactions to service the customer including processing deposits, withdrawals, payments, cash , checks, and credit card advances. + Participates in individual,… more
- Capital One (Mclean, VA)
- …Services + Budget re-forecasts process + **Audits & Escalations:** + Review third-party audit results and create and monitor action plans + Arrange additional audits ... least 5 years of experience in Finance Management or Audit + At least 2 years of experience with...to earn performance based incentive compensation, which may include cash bonus(es) and/or long term incentives (LTI). Incentives could… more
- Intuit (Mountain View, CA)
- …automation to ensure accuracy and efficiency. + Proactively communicate risks, audit developments, and opportunities to executive leadership. + Establish a ... Transparent ASC 450 reporting for sales, city, and property taxes. + Efficient audit defense and controversy resolution. + Tax planning initiatives that optimize … more