- Stryker (Flower Mound, TX)
- …month-end close functions for our divisions, ensuring journal entries and reconciliations are completed timely and accurately in accordance with Corporate policy. ... + Execute SOX internal controls related revenue recognition and reserves, deferred revenue, lease accounting, intangible impairment analysis, and contingent consideration + Prepare quarterly SEC reporting schedules + Perform and present monthly financial… more
 
- FM (Johnston, RI)
- …be required to take initiative to improve collections, reporting, methodologies and reconciliations . This position may be required to prepare analysis in support of ... improving collection efficiency. + Monitoring and collection of all premiums due with focus on collections within specified due dates to minimize penalty to surplus. + Timely follow-up and communication with the account teams and/or customer… more
 
- Raymond James Financial, Inc. (St. Petersburg, FL)
- …+ Uses general ledger accounting software to assist in balancing daily reconciliations . + Prepares general ledger entries on a daily basis. + Researches ... assigned transaction and account discrepancies. + Maintain accurate accounting records for deposit and loan portfolios + Reconciling loan and deposit balances between internal systems and general ledger accounts + Preparer Internal management and regulatory… more
 
- Neuberger Berman (New York, NY)
- …ledger, including assessment of P&L impact and performing balance sheet reconciliations . + **Collaborate Across Teams:** Collaborate with HCM, Technology, and Client ... Coverage Management to implement compensation plans accurately and resolve issues effectively + **Drive Innovation:** Support the design, testing, and implementation of technology enhancements to optimize compensation processes + **Enhance Efficiency:**… more
 
- Robert Half Finance & Accounting (Chicago, IL)
- …quarterly monitoring fees and portfolio company reimbursements * Prepare monthly bank reconciliations and bank fee analysis (cash and other assets) and record ... journal entries for approximately 15 partnerships * Compile monthly cash transfer logs (external, internal and wire confirmations) * Create monthly restricted stock list and other compliance related items * Maintain various files and records, ensuring… more
 
- ASM Global (New Orleans, LA)
- …+ Conduct physical audit of inventory and products. Research and perform reconciliations Qualifications: + High school diploma required, associate 's degree ... preferred + Excellent organizational, written and verbal communication and interpersonal skills + Knowledge and experience working with a POS system + Customer service and communication skills + Fast-paced problem-solving skills + Must be personable, proactive… more
 
- ASM Global (Inglewood, CA)
- …Conduct physical audit of inventory and product. Research and perform reconciliations .Qualifications* High School Diploma required, Associate 's degree preferred* ... Excellent organizational, written and verbal communications and interpersonal skills* Knowledge and experience working with a POS system* Customer service and communication* Fast paced problem solving* Must be personable, proactive and self-motivated*… more
 
- ASM Global (New Orleans, LA)
- …Conduct physical audit of inventory and product. Research and perform reconciliations .Qualifications* High School Diploma required, Associate 's degree preferred* ... Excellent organizational, written and verbal communications and interpersonal skills* Knowledge and experience working with a POS system* Customer service and communication* Fast paced problem solving* Must be personable, proactive and self-motivated*… more
 
- Mass Markets (MS)
- …You'll be responsible for assisting with day-to-day financial transactions, reconciliations , and reporting activities, helping ensure accuracy and compliance across ... RESPONSIBILITIES Key Responsibilities + Pulling daily and monthly reports for reconciliations across seven different agencies. + Reconciling daily and monthly… more
 
- ADM (Decatur, IL)
- …Bank Reconciliation Specialist is responsible for executing accurate and timely reconciliations of AP-related bank accounts. This role focuses on identifying and ... S2P Operations, and Accounting teams to maintain clean, up-to-date reconciliations and support month-end activities. **Key Responsibilities:** + Perform daily,… more
 
Recent Jobs
- 
                
                    Hospice Account Executive- Loyola
                
                - Trinity Health (Oak Brook, IL)
- 
                
                    Finance Leadership and Development Internship
                
                - International (Lisle, IL)
- 
                
                    Senior Estimator
                
                - Clark Construction Group, LLC (San Francisco, CA)
- 
                
                    Group Director, Communications - WMUS Growth
                
                - Walmart (Bentonville, AR)