- Robert Half Accountemps (Meridian, ID)
- Description Do you have experience working with intercompany transactions and reconciliation and working knowledge of tax compliance as it pertains to state and ... forecasts. Requirements Do you have experience working with intercompany transactions and reconciliation and working knowledge of tax compliance as it pertains to… more
- Wabtec Corporation (Buffalo Grove, IL)
- …various Inventory reports, assisting with month-end close activities and account reconciliation tasks, and supporting yearly Standards updates and other related ... updates OneStream reports. Prepares and maintains monthly inventory accounts reconciliation . + Supports Physical Inventory auditing team. Supports yearly Material… more
- Robert Half Accountemps (Walnut Creek, CA)
- …the financial health of the organization by ensuring timely and accurate posting, reconciliation , and follow-up of payments. If you are an organized detail oriented ... Oracle). Detail-Oriented: Ability to perform accurate data entry and reconciliation tasks. Communication: Strong verbal and written communication skills for… more
- Elderwood (Buffalo, NY)
- …cash posting discrepancies with internal/external customers. + Month End Cash Reconciliation between Accounts Receivable Software (Sage) & Bank Statements for A/R ... Close. + Research and resolve cash reconciliation issues. + Third Party Reimbursement software (Net Rx) Maintenance- cash/remittance management; archive old remits;… more
- Robert Half Accountemps (Seaside, CA)
- …Compile data for financial reporting and assist with month-end tasks, including reconciliation and analysis of accounts payable. * Provide quarterly and year-end ... financial reports. * Familiarity with accounts payable systems and general ledger reconciliation . * Ability to research and resolve discrepancies with vendors and… more
- Woodforest National Bank (The Woodlands, TX)
- …item review, and official claims. This role ensures accuracy in daily reconciliation processes while supporting branch staff and maintaining compliance with bank ... Key Responsibilities: . Identify and resolve out-of-balance items on daily cash reconciliation sheets. . Review and correct proof errors, adjusting customer accounts… more
- Robert Half Finance & Accounting (Gorham, ME)
- …ledger management. * Strong knowledge of journal entry preparation and account reconciliation . * Hands-on experience with bank reconciliation procedures. * ... Familiarity with financial statement preparation and analysis. * Exceptional attention to detail and problem-solving skills. * Advanced proficiency in accounting software and Excel. * Bachelor's degree in Accounting, Finance, or a related field. Robert Half is… more
- Dentsply Sirona (Milford, DE)
- …reporting. The position also involves responsibility for inventory account reconciliation and periodic physical inventory controls. **Key Responsibilities:** + ... cycle counts, including tag control, discrepancy resolution, test counts, result reconciliation , and auditor support (internal/external). + Assist in the proper… more
- PPL Corporation (Allentown, PA)
- …responsibility for special projects and company initiatives. Provide ongoing reconciliation between long-term goals and short-term actions. Initiates and implements ... responsibility for special projects and company initiatives. Provide ongoing reconciliation between long-term goals and short-term actions. Initiates and implements… more
- GE Aerospace (Bohemia, NY)
- …tagging, packing and shipping of materials . Validates counts and paperwork including reconciliation of discrepant counts . Order and manage supplies . Ability to ... Oracle . Validates inventory accuracy via cycle count mechanism including reconciliation of discrepant counts, recommending procedure changes to improve accuracy .… more