• Accounting Specialist

    Turner & Townsend (New York, NY)
    …& FSCP C015FSCP finance controls. + Review and approve Intercompany Invoice and Reconciliation Reports. + Review Accounts Payable and Staff Accountants journal ... reports on the Paycom system for payroll review & reconciliation . + Review and approve supplier/vendor invoices, and payments...is retained for all entries. + Review and approve bank payments and transfers on banking platform. + Oversee… more
    Turner & Townsend (07/30/25)
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  • Chief Financial Officer (CFO)

    Community Health Systems (Roswell, NM)
    …objectives. + Oversees the accuracy of General Ledger entries and ensures the timely reconciliation of all bank accounts to the General Ledger. + Monitors ... Patient Access. **Essential Functions** + Provides financial leadership to hospital staff and management to support, create ownership, and encourage decisions that… more
    Community Health Systems (09/13/25)
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  • Patient Financial Specialist Representative Phys…

    Banner Health (Mesa, AZ)
    …ever-growing Orthopedic clinic, where you'll be working side by side with medical staff to create a great patient experience. As a **Patient Financial Services ... families. 4. Enters payments/charges for services rendered and performs daily payment/charge reconciliation in a timely and accurate manner. Balances cash drawer at… more
    Banner Health (08/30/25)
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  • Accounting & Finance Manager

    Robert Half Finance & Accounting (Chicago, IL)
    …transactions. Key responsibilities will include reconciling account balances and bank statements, maintaining the general ledger, preparing month-end close ... principles to effectively analyze financial reports and forecasts. Experience in staff management and familiarity with non-profit organizations is preferred. Job… more
    Robert Half Finance & Accounting (09/12/25)
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  • Front Desk Patient Financial Services…

    Banner Health (Sun City West, AZ)
    …families. 4. Enters payments/charges for services rendered and performs daily payment/charge reconciliation in a timely and accurate manner. Balances cash drawer at ... the beginning and end of the day and prepares daily bank deposit with necessary paperwork sent to centralized billing for record purposes. 5. Schedules office visits… more
    Banner Health (09/12/25)
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  • Director Treasury Services

    Baystate Health (Springfield, MA)
    …products, ensure favorable pricing, and optimize service quality. * Oversee the bank reconciliation process for all System accounts, ensuring accuracy, internal ... (SAP) and compliance with all regulatory requirements and audit standards. **9) Staff Leadership and Development** * Lead, mentor, and manage treasury staff more
    Baystate Health (08/26/25)
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  • Manager, Investment Accounting & Performance…

    Emory Healthcare/Emory University (Atlanta, GA)
    …and will be assigned to supervise investment operations analyst and accountant . INVESTMENT ACCOUNTING RESPONSIBILITIES: + Oversees the self-administration process. + ... close process and ensures the timely and accurate posting, balancing, and reconciliation of all activities. + Monitors outstanding commitments and fees. + Reviews… more
    Emory Healthcare/Emory University (08/31/25)
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  • Site Controller

    Travel + Leisure Co. (Las Vegas, NV)
    …success of our resort and homeowner associations. **How You'll Shine:** + Supervise Staff Accountant and Accounting Clerks. + Coordinate and oversee daily ... close process. + Review monthly reports including Balance Sheet Reconciliations, Bank Reconciliations & Monthly recurring reports. + Prepare monthly cash flow… more
    Travel + Leisure Co. (08/22/25)
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