- Robert Half Finance & Accounting (Kailua, HI)
- …on a weekly basis, ensuring accuracy and timeliness. * Assist with bank reconciliations and general ledger reconciliations to maintain financial accuracy. * ... Manage wire transfer processing and ensure proper documentation for all transactions. * Audit member forms to confirm system updates are accurate, including scanning and reviewing scanned documents. * Provide support to front-line tellers by handling member… more
- West Pharmaceutical Services (Exton, PA)
- …with GAAP requirements as well as month-end financial closing, reconciliations , and reporting. **Essential Duties and Responsibilities** * Setting strategic ... the preparation of journal entries, reserve and variance analyses, and account reconciliations for all manufacturing locations supported by the wider cost accounting… more
- Bausch + Lomb (Tampa, FL)
- …managing departmental spending inputs. + Prepare assigned balance sheet account reconciliations to ensure accuracy and completeness. + Manage and reconcile assigned ... the organization. + Familiarity with month-end closing processes, account reconciliations , budgeting, and forecasting. + Demonstrated understanding of internal… more
- Cedars-Sinai (CA)
- …budgets, expenditure restrictions, and grant accounts. Monitors expenses, performs reconciliations and research related financial reporting of federal and ... performs all pre-award and post-award monthly financial projections, account reconciliations , cost transfers, progress reports, budget changes, salary allocation… more
- Solvay Bank (Syracuse, NY)
- …a variety of financial reports and summaries, including account reconciliations . This position coordinates expense reimbursement, accounts payable documentation, as ... and accurate vendor management process. + Collects and maintains general ledger reconciliations from various Bank departments, ensuring they are completed timely &… more
- Robert Half Finance & Accounting (Visalia, CA)
- …provide support for tax preparation functions as needed. * Perform bank reconciliations to ensure account accuracy and resolve discrepancies. * Collaborate with firm ... tracking. * Ability to generate financial statements and perform bank reconciliations accurately. * Excellent organizational and communication skills to manage… more
- Louisiana Department of State Civil Service (Baton Rouge, LA)
- …payment returns and stop payments, completing agency tax returns, and numerous reconciliations to the general ledger. TheGeneral Ledger Section is responsible for ... monthly financial statements, accounts receivable, accounts payable, purchasing, bank reconciliations , refund of contributions, staff payroll, monthly delinquent contribution… more
- Cardinal Health (El Paso, TX)
- …in El Paso, TX. **_Responsibilities_** + Prepare monthly balance sheet/inventory reconciliations + Responsible for coordinating annual cost build for the Pre-Source ... inventory in-transit + Prepare journal entries for manufacturing variances and inventory reconciliations + Train, assist, and work with plant cost accountants as… more
- Robert Half Finance & Accounting (St. Helena, CA)
- …with CPAs + Departmental budget development and variance analysis + Balance sheet reconciliations and general ledger mapping + Bank reconciliations and cash flow ... monitoring + Oversight of inventory accounting and operational costs + Team leadership, coaching, and performance management + Support strategic decisions through special projects and ad hoc analysis Requirements What You Bring: + Bachelor's degree in… more
- Robert Half Finance & Accounting (Chicago, IL)
- Description Responsibilities * Bank Reconciliations , credit card reconciliations * Prepaid expenses and fixed asset schedules * Manage accounts ... payable/receivables cycle * Check Runs * Journal entries Requirements Keys: + At least 2 years of relevant experience (broker-dealer or real estate accounting required) + Compensation expectation aligned with $60K-$90K (70K-90K would be for experienced… more