- City of New York (New York, NY)
- …seeking to fill one (1) Staff Analyst II vacancy to function as a Sr . Bank Account & Disbursement Reconciler in the Bureau of Reconciliation and Control ... of the Comptroller, and other state and local agencies. The Sr . Bank Account & Disbursement Reconciler will: - Collect and analyze BORAC Unit reports… more
- Commerce Bank (St. Louis, MO)
- …Creating an award-winning culture doesn't come easy. And after 160 years, we know Commerce Bank is only at its best when our people are. If this sounds interesting ... for documenting commercial leases and loans originated by Commerce Bank . These leases and loans range from $200,000.00 to...on financed assets + Set up escrow funds and disbursement of funds + Monitor UCC report, filing termination… more
- Columbia Bank (Seattle, WA)
- Senior Relationship Specialist Commercial Banking Seattle, Washington **Description** **About Us:** At Columbia, we create a great place to work by offering a unique ... with the business unit and other departments throughout the bank . Is relied upon by the business unit for... products and services and facilitate processing of customer account maintenance and advance requests. Responsible for GL Certification… more
- Robert Half Finance & Accounting (San Francisco, CA)
- …disbursements to ensure compliance. * Monitor cash security processes, including disbursement approvals and account reconciliations. * Provide financial data ... Description PLEASE CONTACT CHRISTINA TRAN AT ROBERT HALF FOR MORE DETAILS SENIOR ACCOUNTING MANAGER -PROPERTY ACCOUNTING Well established and growing real estate… more
- Pew Charitable Trusts (Washington, DC)
- …This individual will be responsible for supporting Pew's liquidity and bank account management, monitoring banking transactions, ensuring compliance with ... Senior Associate, Finance and Treasury Services (Hybrid) Position...+ Presents reports on the organization's cash flow and bank account positions. + Supports the development,… more
- SUNY Westchester Community College (Valhalla, NY)
- …the general supervision of the Manager of Fiscal Operations (WCC), the Senior Cashier will perform complex cashier functions including receiving, recording and ... payment for services; receiving, recording and securing valuables; maintaining detailed account ledgers using automated equipment and files; and conducting regular… more
- Charles Schwab (Indianapolis, IN)
- …Fraud Risk Management section of Financial Crimes Risk Management, the purpose of Senior and Vulnerable Investor (SVI) Investigations is to protect senior ... elder financial exploitation or diminished financial capacity with respect to senior clients. These investigations are often sophisticated and require excellent… more
- Robert Half Finance & Accounting (West Palm Beach, FL)
- …ledger management. * Strong skills in preparing journal entries and performing account reconciliations. * Expertise in bank reconciliations and financial ... Description We are looking for an experienced Senior Staff Accountant to join our team in...while coding invoices and reconciling accounts. * Conduct monthly bank reconciliations and verify deposits while addressing inquiries from… more
- Comerica (Farmington Hills, MI)
- Job Description Senior Trust Advocacy AdvisorThe Trust Advisor in Comerica's Trust Advocacy group responsible for reviewing legal documentation for new business and ... naming Comerica or accept its role in an agency, IRA or charitable account . This position reviews notifications of death, wills, trusts, powers of attorney, and… more
- City of Norfolk, Virginia (Norfolk, VA)
- …of accounting data for reporting purposes. + Researches and analyzes vendor account statuses. Conducts periodic audits of parking lease tenant accounts, ledgers, and ... government reports. Prepares account adjustments in both manual and computerized records, annotates...billing, including auditing for accurate coding. + Collaborates with senior management to gather technical information for developing contract… more
- Robert Half Finance & Accounting (Oakbrook Terrace, IL)
- …Reviewing and maintaining all balance sheet reconciliations, and ensuring that all intercompany account balances and all bank account balances are ... The ability to read and to comprehensively discern the appropriate accounting recognition of various legal agreements including MLPAs, AMAs, and forward purchase and… more
- MTA (New York, NY)
- …and transaction processing for Accounts Payable including timely and accurate disbursement of payments and maintaining business processes that promote operational ... + Manage timely data validation and maintenance of forms, account analysis and reconciliation processes on a monthly basis...the reporting metrics of the Prompt Payment results to Senior Management annually and on an ad-hoc basis as… more