Average salary: $73,995 /yearly
More statsSearch Results: 104 vacancies
...Assist the Office Manager, as requested, with any necessary reports
Assist the Office Manager, as requested, with collections reconciliation and deposit preparation at closing each day
Attend and participate in staff meetings and team huddles
Comply with Federal...
Suggested
...system-SAP and coordinates with Financial Analysts. Maintains complete and accurate Accounts Payable files and monthly account reconciliations.
Essential Duties and Responsibilities
Accurately processes vendor invoices, ensuring proper coding to general ledger....
Suggested
Hourly pay
Weekly pay
Full time
Local area
...transactions. This individual is responsible for performing key accounting and financial reporting activities including intercompany reconciliations and global consolidation to support ensuring the completeness and accuracy of accounting transactions. In this position, the...
Suggested
Holiday work
Work experience placement
Local area
...processes to include various tasks such as analyzing delinquency reporting, insurance accounting, revenue financial review, and other reconciliations as assigned. Your role requires accuracy, the ability to work efficiently and effectively, and the ability to deliver on our...
Suggested
Holiday work
Full time
Local area
...accuracy
Analyze client media billing data imported to accounting system weekly and proactively resolve any discrepancies for reconciliation and post accurately
Manage client fee schedule and prepare manual client fee invoices monthly
Analyze posted client...
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Holiday work
Local area
Worldwide
...DEFINITION
Under general direction from the Controller, the Senior Accountant prepares complex general ledger entries and account reconciliations. S/he works with the Controller to ensure the accuracy and integrity of the District's general ledger.
Distinguishing...
Suggested
Hourly pay
Price work
Holiday work
Full time
Christmas work
New year
Flexible hours
Afternoon shift
...a temporary 2-month assignment!- Apply Now!
Responsibilities for Accounting job include but are not limited to:
Perform reconciliations between at least two large sets of data and resolve significant variances (using Excel)
Determine root causes of variances, including...
Suggested
Hourly pay
Weekly pay
Holiday work
Temporary work
For contractors
Casual work
Local area
...(POS) sales.
Review and validate monthly ship & debit credit requests for unit price decreases.
Prepare monthly account reconciliation and analyses for all balance sheet accounts and expense accounts as required.
Prepare monthly bank reconciliation analysis....
Suggested
Local area
Immediate start
Worldwide
Relocation
...chart of accounts, journal vouchers, subsidiary ledgers, and financial statements.
Prepare comprehensive account analyses and reconciliations for assigned balance sheet accounts on a timely basis each month to assure the integrity of the accounting records....
Suggested
Full time
Local area
Flexible hours
...Planning Manager, you will be tasked with writing and maintaining Jet Reports. Other reporting duties will include assisting with reconciliations and tracking and preparing reports for all inter-departmental and inter-plant inventory transfers.
Can you manage processes...
Suggested
Full time
Local area
Shift work
...accordingly
Work collaboratively with analytics + AdOps teams on tagging requirements to QA performance
Own billing and reconciliation process (inclusive of ad serving estimation) to maintain campaign parameters
Consolidate POVs + Partner feedback to ensure that...
Suggested
Holiday work
Local area
Worldwide
...and analytical skills are required.
Essential Functions:
Prepares annual ICE submission for multiple segments, including reconciliations, screening for unallowable costs, and proper allocations in accordance with the company Disclosure Statements
Responsible for...
Suggested
Full time
Contract work
Local area
Remote job
Felony friendly
...accuracy and completeness of financial data.
Prepare journal entries for various financial transactions.
Prepare monthly bank reconciliations and analyze discrepancies as needed.
Assist with month-end and year-end close processes.
Efficiently create accounting...
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Casual work
...**Senior Transportation Coordinator**
As our **Senior Transportation Coordinator**, you will be responsible for audits and reconciliation of domestic vendor invoices. The position is also responsible for generation of carrier audit reports and suggestions to the Transportation...
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For contractors
...Accounts Receivable, Collections and Accounts Payable functions and activities
* Handle administrative, data entry, reporting and reconciliation around asset and inventory controls and purchasing
* Coordinate with Customer Service Center (CSC), regional and corporate...
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Immediate start
...respond to branch and member issues including, but not limited to, misapplied payments, procedural questions, and account history reconciliations.
Assist the Accounting Department reconciling General Ledgers (GLs) used by the department.
Assist, review and authorize...
Holiday work
Flexible hours
...types (firm fixed price, cost-plus, progress, and time & materials), and utilize complex billing portals. Your skills in account reconciliation and resolving discrepancies will be crucial, as will your ability to assist with government audits and finalize billing for the...
Contract work
...Updates monthly warehouse reports.
Updates daily cash report and daily profit report.
Monthly intercompany Debit Note reconciliations.
Sales and Use tax reporting, payments, and accruals.
Intercompany - Responsible for understanding the quarterly balance...
Weekly pay
Local area
Immediate start
...departments on Business Office process and procedure
Clerical responsibilities may include, but is not limited to: copying, filing, reconciliation of missing dealer plates or information and data entry into Microsoft Excel and proprietary systems as required for logging...
Hourly pay
Holiday work
Part time
Home office
Shift work
Night shift
...integrity of all inventory related transactions, administration of the in-house cycle count program, quarterly Supplier cycle count reconciliation, execution of the shelf-life program, support timely product launches, process all credit and rebills, and manage inventory...
Local area