• Staff Accountant

    Grameen America, Inc (New York, NY)
    …learning opportunities for the right candidate. Key Responsibilities + Daily reconciliations in our shared services branch accounting group, to include reconciling ... disbursement partners' data matches Mambu. + Prepare regular journal entries and reconciliations during the month and month-end close process. + Performs weekly… more
    Grameen America, Inc (06/25/25)
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  • Director, Corporate Accounting

    Tucson Electric Power (Tucson, AZ)
    …efficiency and maintain internal controls, including journal entry processing, account reconciliations , and variance and other analysis required to support the ... efficiency and maintain internal controls, including journal entry processing, account reconciliations , and variance and other analysis required to support the… more
    Tucson Electric Power (06/24/25)
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  • VA Nurse (LPN/RN)

    St John's Community Services (Annandale, VA)
    …and well-being of the individuals we serve by conducting medication reconciliations , assessments, education and thorough documentation in compliance with state ... essential responsibilities will be the following: + Perform monthly medication reconciliations to ensure accuracy and safety of administration. + Conduct… more
    St John's Community Services (06/24/25)
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  • Purchasing & Accounts Payable Assistant

    Shenandoah University (Winchester, VA)
    …requisition and purchase orders + Handle disbursement checks + Verify purchasing card reconciliations + Input accurate data + Vendor and internal inquiries + Various ... administrative/office tasks + Other duties as assigned Required Skills Qualifications: + Strong computer skills in Microsoft Office applications and Google preferred + Excellent communication and organizational skills + Ability to work independently and as… more
    Shenandoah University (09/20/25)
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  • FP&A Manager

    Aston Carter (Tecumseh, MI)
    …financial and tax audits. + Prepare and review general ledger account reconciliations . + Support capital expenditure return on investment analysis and tracking. + ... Prepare company consolidations of actual and forecast results. + Manage the intercompany process. + Prepare weekly cash forecasts for bank reporting. + Prepare monthly financial reporting for the bank. + Perform all other duties as assigned. Essential Skills +… more
    Aston Carter (09/20/25)
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  • Senior Tax Accountant

    Aston Carter (Salem, OR)
    …or Washington. + Proficiency in GAAP, including journal entries, general ledger, reconciliations , and financial statements. + Experience with CCH Axcess software. + ... Savvy with Excel and ability to quickly learn new systems. + Bachelor's degree in Accounting or Finance, with an MBA or CMA preferred. Work Environment Join a team that values a family feel in the workplace. Enjoy a pet-friendly office environment and benefit… more
    Aston Carter (09/20/25)
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  • Accounts Payable Coordinator

    Aston Carter (Pittsfield, MA)
    …and vendor activity analysis to internal users, as needed. + Perform reconciliations of account activity to ensure accuracy and compliance. + Provide documentation ... and reports for audits and regulatory agencies while ensuring compliance with accounting standards. + Serve as a backup for accounting clerk duties, including processing AP checks and recording cash receipts. + Collaborate with finance staff to propose and… more
    Aston Carter (09/20/25)
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  • Trust and Estates Fiduciary Accounting Specialist

    Tompkins Community Bank (Ithaca, NY)
    …compliance with legal and regulatory standards. + Conduct regular reviews and reconciliations of financial records to validate data and resolve discrepancies. + ... Maintain organized documentation to support audit readiness and transparency. + Estate and Fiduciary Tax Return Drafting + Collaborate with internal departments (tax, legal, operations) to gather necessary information for estate and fiduciary tax returns. +… more
    Tompkins Community Bank (09/20/25)
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  • Shared Services Analyst

    Aston Carter (Stillwater, MN)
    …enterprise financial transactions and summaries, including balance sheet reconciliations and intercompany transactions. Qualifications: + Bachelor's degree in ... Finance, Accounting, Business Administration, IT, or a related field. + 2+ years of experience in master data management. + Familiarity with accounts payable processes and 1099 forms. + Experience with ERP systems and Coupa automation. Pay and Benefits The pay… more
    Aston Carter (09/20/25)
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  • Assistant Inventory Supervisor - Cycle Count

    Jabil (Florence, KY)
    …SAP transactions related to inventory adjustments, cycle counts, and stock reconciliations . + Review and analyze cycle count variances and implement corrective ... actions as necessary. + Adherent to all safety and health rules and regulations associated with this position and as directed by supervisor. + Comply with and follow all procedures within the company security policy. + May perform other duties and… more
    Jabil (09/20/25)
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