apartmentHaavia, Inc.placeMonroe (NJ), 34 mi from New York
Role: Claims Reconciliation Expert Locations: Plano, TX / Jersey City, NJ / Charlotte, NC / Newark, DE Duration: Contract Photon Company Overview: The client is a bank holding company, and a financial holding company. Client is a financial...
apartmentStarcomplaceNew York
management activities such as campaign set-up, documentation creation and maintenance, QA, optimizations, performance reporting, & billing reconciliation. He/she will assist in building client decks and documents, attend client meetings, and assist with post...
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Manager, Finance

apartmentPublicis MediaplaceNew York
reconciliation & resolve IC mismatch Complete and Upload HFM monthly actual and budget forecast Prepare reports - specify what reports Prepare presentations to Management Prepare and audit AWS Monthly reconciliation and accruals WIP Analysis on monthly basis...
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Financial Accountant (Banking)

apartmentACG ResourcesplaceNew York
Financial Accountant (Banking). The accountant reports to the CFO / Head of Finance Department and is responsible for expense management, fixed assets management, account. The accountant also provides necessary daily support to the department and the CEO and backs up other Finance activities. ...
apartmentACG ResourcesplaceNew York
Customer Service Associate/Receptionist Bilingual Spanish (Banking). ...
apartmentACG ResourcesplaceNew York
Customer Service Associate/Receptionist Bilingual Spanish (Banking). ...
apartmentACG ResourcesplaceNew York
Financial Accountant (Banking). The accountant reports to the CFO / Head of Finance Department and is responsible for expense management, fixed assets management, account. The accountant also provides necessary daily support to the department and the CEO and backs up other Finance activities. ...
apartmentCreative Financial StaffingplaceHarrison (NY), 23 mi from New York
addressing inquiries and resolving daily issues such as malfunctioning credit card machines, cash drawer discrepancies, and payout procedures.   2.  Daily Store Reconciliation:  •  Manage cash drawer closeouts for assigned stores, ensuring accurate...
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