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Resumes 51 - 60 of 125937 |
Plainfield, IL
... Managed project charters, statements of work (SOWs), budgets, and development teams, utilizing scrum boards for effective workflow visualization and stakeholder feedback integration. • Agile Methodology & Team Coordination: Engaged in daily stand ...
- May 29
Hackney, Greater London, United Kingdom
... Preparation of client accounts including income statements, statements of financial position and reconciling cash book to bank statements, in accordance with UK accounting standards. Involve (Charitable Organisation) Risk Management and Operational ...
- May 29
Nairobi, Nairobi County, Kenya
... Preparing Monthly,quarterly and annual financial statements which reflects on the organization performance and true fair position and suggesting to the management areas that requires improvement if any. Accounting for vat,wvat,paye and other taxes ...
- May 29
Chennai, Tamil Nadu, India
... Banking – Working Capital loan – submitting periodical statements to the Bank, submitting concerned returns for import of raw materials and preparation of Bank Reconciliation statement. Sales – Submitting Monthly Returns and other Returns to ...
- May 29
Al Dafna, Qatar
... Drafted financial statements for monthly reports, showcasing a commitment to transparent and effective communication. Delivered presentations in contractual and commercial meetings, demonstrating strong communication skills and a comprehensive ...
- May 29
Redstone Arsenal, AL, 35898
... Complete monthly commission reports Check in drivers Responsible for opening safe in morning and completing the daily deposit spreadsheets Verifies vendor accounts by reconciling monthly statements and related transactions. Reconcile processed work ...
- May 29
Modesto, CA
... • Payroll Processing • Bookkeeping and Reconciliation • Produce Financial Statements • Accounts Payable and Receivable • Journal Entries • Credit Approval and Denial • Client Rapport-Building • SAP Crystal Reports • Complex Problem-Solving • Account ...
- May 28
Perris, CA, 92572
... Hemet, CA 2008-Present -Responsible for processing and reconciliation of all accounts payable activities such as but not limited to payments, expenditures, employee reimbursements, check requests, invoices, and statements. -Ensures the approval, ...
- May 28
Reynoldsburg, OH
... Responsible for machine set up and maintaining the quality of client statements while producing satisfactory production levels. 2015- 2013 Citigroup Machine operator. Operated the Opex 150, Opex Eagle, 40 Mail sorter, 51 low speed mail opener, ...
- May 28
Takoma Park, MD
... Recommended several changes to certain pages of the NAIC statutory blank financial statements to improve data access, queries and financial reporting by subsidiaries. Participated in the Insurance Department’s audit accreditation standards review by ...
- May 28