- Pike Corporation (Atlanta, GA)
- …install IT hardware and software. Perform asset management including updates and reconciliation . Essential Functions: + Image, configure, and deploy all IT hardware, ... peripherals, mobile devices, and software for all Pike Employees. + Troubleshoot and resolved all IT related incidents with cooperation from other departments within IT Operations + Document support incidents in detail within the Help Desk ticketing system. +… more
- First Student (Collierville, TN)
- …improvements to the budgeting process. + Performs financial forecasting and reconciliation of internal accounts. + Reports headcount, fleet management, and key ... performance indicators to support operational performance. + May assist in training/mentoring location staff. Minimum Education & Certifications Required + Bachelor's Degree in Finance or Accounting + Master's Degree is a plus Minimum Experience & Skills… more
- Global Dimensions (Augusta, GA)
- …and maintains a register of cancelled requisitions + Conducts a monthly reconciliation of the document register and determines appropriate courses of action + ... Maintain stock control levels and reorders parts + Requisitions, receives, stores, issues, segregates, cares, preserves, inspect, and accurately inventories equipment and repair parts. Processes repairable/turn-in items + Maintain accountability of equipment… more
- ProMedica Health System (Toledo, OH)
- …decision-making. **ACCOUNTABILITIES** + Cost accounting system management, analysis and reconciliation . Maintain the cost accounting database for changes in costs ... on a regular basis + Maintains a thorough knowledge of the ProMedica source systems that are feeding the application and establishes processes to ensure the accurate flow of information into the decision support systems and the processing of data into… more
- Mondelez International (Ontario, CA)
- …for activities such as inventory management (iDoc management, stock reconciliation ), interfaces monitoring, track and trace, claims management, invoice management, ... compliance execution (HSE, quality, risk management), tenders support, third-party performance management, pallets management. **How you will contribute** You will: + Review and analyze stock inaccuracies and guarantee accurate stock alignment between SAP and… more
- BMO Financial Group (Chicago, IL)
- …on Accounting and Data Analytics.** + Participate in the sourcing, validation, analysis, and reconciliation of data used for FR 2052a, CCAR FR Y-14, FR 2028D, FR ... Y-9C, FFIEC031/041, and FDIC 370 Regulatory reporting. + Experience and an enthusiastic interest in gaining additional expertise in areas such as risk/portfolio management and analysis, banking/trading product operations, finance/accounting, information… more
- World Insurance Associates, LLC. (Syosset, NY)
- …packages including detailed premium, claims, membership, commission, and cash reconciliation information + Create weekly, monthly and quarterly financial statements ... and/or projections + Assist in quarterly presentation to clients on financial performance of insurance programs + New Business Financial Evaluations, as needed by sales team + Provide timely, courteous and accurate response to all inquiries, conducting… more
- TEKsystems (San Antonio, TX)
- …10-key by touch. 2-3 years of related experience in cash posting and reconciliation , EOB analysis, balance transfers, posting refunds, misc. cash, write offs and ... contractual adjustments. Knowledge, Skills, and Abilities: Overall knowledge of business procedures. General knowledge of third payers, and billing procedures and guidelines. Experience with automated patient accounting systems and automated billing and… more
- Robert Half Finance & Accounting (Chicago, IL)
- …emphasizing the importance of a work-life balance. Responsibilities: * Maintain the Reconciliation and Control functions within the Operations group * Work with ... offshore reconciliations team and internal/external stakeholders on a daily basis to clear breaks and ensure all cash, position and trading accounts are reconciled * Responsible for processing certain trade-related activity (fees, transfers, assignments, etc.)… more
- SOL Engineering, LLC (Jackson, MS)
- …requirements of private contributions, loans, and government contracts. + Perform monthly reconciliation of bank, credit card, and balance sheet accounts for review ... and approval by the Controller to ensure that month-end close meets the scheduled deadlines. + Maintain internal control safeguards and proper data entry for the receipt of revenue, costs, organizational budgets and actual expenditures.. + Assist the… more