- ASM Global (Baton Rouge, LA)
- …followed. + Responsible for some balance sheet reconciliations and the operating account bank reconciliation . + Reviews POS back of house reporting, pricing, ... inventory data entry. + Work and reviews with Food & Beverage staff relating to inventory, concessions, beverage consumption and costs. Verifies/Reviews cashier… more
- City of New York (New York, NY)
- …Information Services Agency-Office of Payroll Administration (FISA-OPA) is recruiting an Accountant for the Reconciliation Unit. The selected candidate will ... perform the following tasks: - Reconcile bank accounts on a monthly/bi-monthly basis by: - Keeping...Maintaining an itemized open stop list included in each reconciliation - Maintaining records for refunded, canceled and stopped… more
- M&T Bank (Getzville, NY)
- **Overview:** Reconciliation of assigned GL accounts and DDAs timely and accurately. Identify out of balance conditions and unusual or aged items in assigned ... issues. Participate in projects. **Primary Responsibilities:** + Timely and accurate reconciliation / reporting of assigned portfolio activity to Finance / Audit… more
- Trinity Health (Ann Arbor, MI)
- …duties of staff /senior accountant and purchasing specialist. Oversees bank reconciliation , cash flow analysis and charge entry for complex testing. ... to staff . Serves as backup for Billing Coordinator, Purchase Specialist and Staff /Senior Accountant . + Serves as Finance department's lead contact for client… more
- Robert Half Finance & Accounting (Dallas, TX)
- …Entries * Ability to perform Monthly Account Reconciliation , Monthly Balance Sheet Reconciliation , and Monthly Bank Reconciliation * Skills to Analyze ... national commercial real estate client for a newly created Accountant Manager position! As Accountant Manager you...managing and monitoring the daily activities of assigned accounting staff and ensuring that all policies and procedures are… more
- Robert Half Finance & Accounting (Walnut Creek, CA)
- … bank deposits, and does GL analysis. + Assists CFO with monthly bank reconciliation and brokerage account activities. + Collaborates with external CPA firm ... with strong organizational and communication skills. + Performs daily bank account reconciliation and balances, manages cashflow,...+ Over 10 years of experience as a Senior Staff Accountant or Full Charge Bookkeeper. +… more
- State of Colorado (Denver, CO)
- …Administrator, one (1) Fiscal and Reporting Monitor and one (1) Budget and Financial Accountant . Description of Job S cope of R esponsibilities This is a senior ... that is appropriately related to this position. + Manage the accounting staff and office functions , including payroll processing and benefits administration,… more
- Robert Half Accountemps (Bay Shore, NY)
- …Payable (AP) and Accounts Receivable (AR). * Proven experience in performing bank reconciliations. *Account reconciliation and variance analysis * Familiarity ... (also referred to as FTEP) is our premier "loan staff " division where we hire and retain Accounting and...and Accounts Receivable (AR). * Proven experience in performing bank reconciliations. *Account reconciliation and variance analysis… more
- Kelly Services (San Carlos, CA)
- …and timely and efficient processing of financial statements. + Performs bank account reconciliations, balance sheet accounts reconciliation , researching and ... Hire for the right fit!** **POSITION SUMMARY:** We are looking for a hands-on Accountant Manager who will be responsible for month-end close and reconciliation … more
- Robert Half Legal (Chicago, IL)
- …. * Performs accounting functions as needed, including, but not limited to bank reconciliation and preparation of financial statements and management of reports. ... day-to-day operations of the office; prioritizes use of support staff and facilities. * Manages logistics of attorneys and...not limited to accounts payable, IOLTA processing and online bank account review. * Maintains a professional and positive… more