Average salary: $81,524 /yearly
More statsSearch Results: 401 vacancies
...payroll for multiple clinics, legal entities, and payroll IDs with multiple processing periods operating in multiple states.
Reconciliation of the payroll and payroll tax liability accounts.
Calculation of payroll accruals.
Preparation of monthly payroll...
Suggested
Work experience placement
Local area
Remote job
...administrative details including the coordination of travel arrangements
6. Preparing expense reports and assisting with budget reconciliation
7. Writing correspondence including letters, emails and reports
8. Coordinating meeting itineraries & composing meeting...
Suggested
Flexible hours
...in a timely manner.
Assesses participants upon return from the hospital/Emergency Department within 5 days. This includes the reconciliation of medications and treatment plans and coordination with the participant's CPPCP and IDT members to ensure the timely...
Suggested
Permanent employment
...accounting and monthly close process.
Prepare monthly journal entries for assigned areas of responsibility.
Prepare Balance Sheet reconciliations, review journal entries, and conduct financial statement analytics.
Monthly cash reconciliations.
Provide support in the...
Suggested
For contractors
Work experience placement
...site practice policies and procedures
As applicable to the practice line, facilitating all aspects of the daily patient census/reconciliation and daily multi-disciplinary rounds
Administratively enabling patient care through facilitating home health order workflows,...
Suggested
Holiday work
Contract work
Work experience placement
Locum
Local area
Immediate start
Flexible hours
Shift work
...limited to, monitoring and testing of Compliance Management System and Fair Lending requirements.
Perform quarterly reviews and reconciliation of HMDA and Call Report data.
Assist with monitoring workflows within the LOS to ensure adherence with all mortgage related...
Suggested
Temporary work
For contractors
Casual work
Local area
...preparation of journal entries relating to holding companies and Canadian entities.
* Responsible for preparation of account reconciliations and analysis relating to Corporate, holding companies and Canadian entities.
* Support external audits and liaise with third...
Suggested
Local area
...PreparationofweeklyfinancialreportingschedulestoTutorPeriniCorporateTreasury.
+ Preparationofmonthly Accounting Scheduleswhich include:Statement ofCashflow,WIP reconciliation,PP&E, Debt, BusinessInsurance.
+ PreparationofmonthlyinternalfinancialsfortheBuilding,JOC,MechanicalandCloseOutGroup.
+...
Suggested
For contractors
...Updating patient's demographic and generating Billing Reports
+ Check patient payments.
+ Reviewing EOBs
+ Claim denial reconciliation.
+ Other duties and responsibilities assigned by the Director.
REQUIREMENTS:
+ High school diploma or GED required.
+...
Suggested
Full time
Flexible hours
Monday to Friday
...maintaining inventory in storage areas, ensuring proper labeling and placement of materials.
Assisting with inventory counts and reconciliations as needed.
Communicating effectively with coworkers and supervisors to coordinate workflow and prioritize tasks.
Reporting any...
Suggested
Hourly pay
Permanent employment
Temporary work
Work experience placement
Immediate start
Shift work
...support of the financial operations of the organization. Prepares journal entries, income and balance sheet statements, account reconciliations, cost and related reports.
Responsibilities include:
Assist in month- end close journal entries.
* Medicaid Cash
*...
Suggested
Full time
Shift work
...responding to information request from vendors, monitoring demographics data integrity and file integrations, error reporting, funding reconciliation and payments, and performing ad-hoc plan and participant research in support of plan operations.
Respond to queries from...
Suggested
Holiday work
Full time
Temporary work
Local area
Flexible hours
...obtaining and recording patient medication histories in the hospital health information system (HIS) and performing a complete reconciliation for the medications to ensure accurate information is available to providers at the time of admission to the Emergency Department...
Suggested
...not limited to cash, fixed assets prepaids, accruals, and inter-company transactions) and managing various asset and liability reconciliations.
Perform account analysis and maintain account reconciliations, including bank statements and intercompany general ledger accounts...
Suggested
Temporary work
Local area
Flexible hours
...annual operating budget and monthly financial reporting package.
Responsible for the final review and approval all annual lease reconciliation and estimates.
Establish goals and objectives for the performance of the on-site staff in meeting set goals and objectives...
Suggested
Contract work
Temporary work
Local area
...(PEO).
- Prepare interest calculations for notes and oversee Accounts Receivable and Payable processes.
- Conduct monthly reconciliations of bank and brokerage accounts for all Family Office entities.
- Compile and review financial statements, general ledgers, and...
...updates to various Excel models and Kyriba (treasury workstation) utilized by various departments
Work with accounting, cash reconciliation team and various other departments to ensure treasury initiated cash transactions are properly booked in the TWS and Lawson...
Hourly pay
3 days per week
...Job
We are looking for a Payroll Specialist to manage a variety of payroll and HR responsibilities, including payroll entry, reconciliation, troubleshooting, and process enhancement. This position will report to the Team Lead, Payroll Operations and have the...
Full time
Work experience placement
Local area
3 days per week
...requests and the payments that come in.
Prepare ing requests in Primavera
Learn SAP and prepare the SAP sales orders and request the Sales invoices from Accounting
Perform system reconciliation between Primavera and SAP
Education and Certifications
Bachelor's in business
Responsibilities:
Monthly reconciliation of Risk/Trading system profit and loss to general ledger
Performs analysis to ensure accuracy of gross margin
Prepares and books journal entries impacting the gross margin; identifies and reconciles discrepancies that impact...