Average salary: $54,495 /yearly
More statsSearch Results: 33 vacancies
...Job Description
Job Description Event & Reconciliation Project Manager– Meetings and Incentives
Embark on the next step in your career journey with Direct Travel!
The Program Reconciliation Manager serves as a primary and expert resource regarding event solutions...
Suggested
Work experience placement
Flexible hours
...each location. Review financials for reasonableness, working with restaurant managers and supervisors to answer questions.
• Bank Reconciliations: Check deposit activity recorded by restaurants with that reported by the bank to ensure accuracy. Account for outstanding...
Suggested
Hourly pay
Temporary work
Flexible hours
Monday to Friday
...address compliance requirements.
Assist with currency revaluations and translation.
Post journal entries and complete account reconciliations.
Assist with preparation of documentation for financial statement audit and tax returns.
Enter and analyze schedules and...
Suggested
...liabilities, and capital.
Process and post monthly and quarterly expense allocations.
Prepare and monitor budgets.
Perform bank reconciliations.
Budget and claims grants.
Created ad hoc reports as requested.
Work with public auditors to resolve requests....
Suggested
Permanent employment
...seeking an Enrollment Specialist. This individual is responsible for assisting with all enrollment, disenrollment, fulfillment, reconciliation and related activities for all of Network's products. This individual will work with internal and external stakeholders to...
Suggested
Work from home
Home office
...practice clinician.
2. Rooms the patient, obtains and documents vital signs and pertinent health information, validates medication reconciliation completion, and prepares patient for examination. Provides documentation support for complex documentation in electronic health...
Suggested
Full time
...Accountant will be responsible for supporting the USICG Accounting team, located in Glastonbury, CT, with journal entries, account reconciliations and analysis. This position also will be responsible for billing clients on a monthly basis and collecting monies due to USICG....
Suggested
Holiday work
Temporary work
Flexible hours
...Hospital deposit worksheet, the bank deposit ticket, and scanning all checks.
Balance accounts receivable and prepare deposit reconciliations.
Prepare professional, all-inclusive fee bills for submission to Accounts Payable.
Prepare vendor bills for submission to providers...
Suggested
...the main resource for our guests during the overnight hours. You are responsible for maintaining overall hotel operations and reconciliation/posting of all revenues from the previous day. You are also accountable for check-in, check-out, kiosk operations, market sales...
Suggested
Holiday work
Temporary work
Local area
Immediate start
Worldwide
Shift work
Night shift
...payroll accounts.
* Create and prepare reports for internal and external customers.
* Partner in the entry, verification, and reconciliation of union and non-union payroll processing.
* Resolve issues and discrepancies by interfacing with internal and external...
Suggested
Local area
Weekend work
...the WTCS and FVTC policies that impact the student account. Point students to appropriate appeal procedures when appropriate.
Reconciliation
Review pertinent information from the daily bank activity, apply wire payments and ACH payments appropriately to student...
Suggested
Hourly pay
Work experience placement
Monday to Friday
...* Ensure the accurate and timely preparation of journal entries including those that may be complex in nature. Review account reconciliations to ensure accuracy and timeliness and coordinate identification, investigation and resolution of discrepancies.
* Demonstrate...
Suggested
Full time
Temporary work
Local area
Relocation
Relocation package
Flexible hours
...internal management and the company
Assist in preparation of quarterly reporting presentations to the company
Prepare account reconciliations of assigned accounts for the Coalition and prepare analysis and reporting on all reconciled accounts.
Assist with monthly...
Suggested
Hourly pay
Permanent employment
Temporary work
Work experience placement
Shift work
$125k - $180k
...at the beginning of the accounting year, all entries during the year, and closing entries at the end of the year; analysis and reconciliation of general ledger account activity and balances; reconcile general ledger inventory accounts to inventory subsystem; and reconcile...
Suggested
Full time
Interim role
Local area
...directs activities related to truck unload, freight flow, backroom organization, ticketing merchandise, stocking shelves, and reconciliation of inventory transactions according to operational and merchandising standards.
2. Leads and supervises the freight team.
3...
Suggested
Holiday work
Work experience placement
Local area
Night shift
...monthly and account for any outstanding items
• Perform other duties as assigned by the management.
• Proficiency in account reconciliation
• Familiarity with handling Accounts Payable (AP) and Accounts Receivable (AR)
• Excellent data entry skills
• Experience...
Hourly pay
...processes.
Requests, validates and confirms full file data feeds from clients to ensure system integrity through audits and reconciliation.
Collaborates directly with client and/or Client Services team to report data file errors and accumulator reconciliation results...
Remote job
Holiday work
Temporary work
Work experience placement
Flexible hours
Weekend work
Monday to Friday
...for customer service
* Main point of contact for all customer service issues
* Oversee midmonth and end of month inventory reconciliation
* Responsible for managing and communicating customer scorecard results.
* Lead the creation of a team culture which results...
Full time
Temporary work
...request and approval of all freight invoicing.
Generate freight bill claims, provide the required documentation and tracks reconciliation.
Coordinate with GBS (Global Business Solutions), Order Managers, Project Managers, Buyers, Expediter regarding inbound...
For contractors
Local area
Worldwide
...cash register; receiving payment by cash, check, or credit card and issuing receipts, refunds, or change as needed.
Perform reconciliation of cash drawer, ensuring amounts are correct and that adequate change is available.
Maintain adequate stocking of shelves, cleanliness...
Full time