• Account Adjustment Adjuster

    City of New York (New York, NY)
    …reconciles receipts, batch transactions and daily disbursements; reconciles all SCU bank accounts, exception reporting, including credit card payments. Monitors and ... timeframes. The duties and responsibilities of this position represent all Bookkeeper II /Account Specialist in the Office of Fiscal Operations except the Bookkeeper … more
    City of New York (09/18/24)
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  • Technical Project Manager - Financial Services…

    TEKsystems (New York, NY)
    …GRA models follow an iterative and ongoing development life cycle, as the bank responds to the changing nature of portfolios, economic conditions, and emerging ... and infrastructure across GRA. These efforts include the development of one universal platform for seamless model development and implementation, and improvements to… more
    TEKsystems (09/14/24)
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