- AON (St. Peter, MN)
- …reconciliations in line with mandates and guidelines + Managing claims reconciliation and year-end audits + Handling regulatory correspondence and insurance returns ... reconciliations in line with mandates and guidelines + Managing claims reconciliation and year-end audits + Handling regulatory correspondence and insurance returns… more
- Compass Group, North America (Lincoln, NE)
- …**Key Responsibilities:** + Responsible for all cash handling procedures + Perform reconciliation and analysis for several balance sheet accounts + Analyze financial ... Review of general ledger and balance sheet + Resolving various accounting/ reconciliation issues + Financial reports: monthly, quarterly and annual reports, including… more
- Compass Group, North America (Costa Mesa, CA)
- …include but not limited to the following: **Key Responsibilities:** + Perform reconciliation and analysis for several balance sheet accounts + Analyze financial ... Review of general ledger and balance sheet + Resolving various accounting/ reconciliation issues + Financial reports: monthly, quarterly and annual reports, including… more
- Baker Construction (Monroe, OH)
- …and manages the company's corporate credit card systems, including support, reconciliation , and compliance tracking **Roles and Responsibilities** + Serves as the ... and forwards monthly banking credit card statements to designated personnel for reconciliation of tax-related payments + Coordinates with Treasury and the banking… more
- Robert Half Finance & Accounting (New Haven, CT)
- …Perform other duties as assigned. Requirements * Proven experience in Account Reconciliation * Proficiency in Balance Sheet Reconciliation * Demonstrated ability ... to perform Bank Reconciliations * Extensive knowledge of General Ledger maintenance * Experience in preparing and adjusting Journal Entries * Proficiency in Microsoft Excel required * Familiarity with Month End Close procedures * Prior experience in a… more
- Compass Group, North America (Altamonte Springs, FL)
- …**Key Responsibilities:** + Responsible for the accurate and timely reconciliation of Compass Depository Accounts, Corporate Insurance Accounts, and Corporate ... + Working knowledge of SAP financial and/or Access + Previous Account Reconciliation software experience **Apply to Canteen today!** _Canteen is a member of… more
- Houston Methodist (Houston, TX)
- …Cash Applications Representative position is responsible for the daily entry, reconciliation , electronic data interchange and analysis of all activity between the ... follows the Levels of Authority (LOA). (EF) + Completes reconciliation of unidentifiable/unmatched cash receipts. Processes insurance refunds as applicable.… more
- Robert Half Finance & Accounting (Vienna, VA)
- …or a similar role. * Proficiency in invoice processing, coding, and account reconciliation . * Strong working knowledge of Microsoft Excel for data entry and ... attention to detail. * Familiarity with credit card and vendor account reconciliation processes. * Excellent organizational and time management skills to meet… more
- Compass Group, North America (Washington, DC)
- …cash sales and meal counts using computer. + Perform daily bank deposit reconciliation . + Process vendor invoices for payment - using computer, making sure addition ... sure there is no discrepancy in pricing. + Perform monthly vendor statement reconciliation . + Prepare monthly state claim form for reimbursement. + Assist in… more
- CaroMont Health (Gastonia, NC)
- …compounding, hazardous sterile compounding, OR pharmacy support, and/or medication reconciliation ); utilizes automation to credit or charge medications to patient ... sterile compounding, hazardous sterile compounding, OR pharmacy support, and/or medication reconciliation ). Ability to participate in the training of new pharmacy… more