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Brampton, ON, Canada
... 12.2.6, 12.2.5, 12.2.4, 12.1.3, 12.1.2, 11i, 10.7/11i - 11.5.1, 11.5.3, 11.5.4, 11.5.7, 11.5.9, 11.5.10 (AR, AP, GL, FA, FAH, PO, I-Proc, I-Expense, CE, PA,OM/OE, Oracle Trade Management, INV, BOM, WIP, OTM, OPM, HRM, Oracle Projects (Oracle Project ...
- 2021 Jan 08
Brampton, ON, Canada
... Application Credit Management B2B Collection Financial Reporting Billing Management Variance Analysis Data and Journal Entry Accounts/GL/Bank Reconciliation Monthly cash forecast Projection Process Improvements SAP ERP/Microsoft Dynamics AX Strong ...
- 2020 Nov 07
Milton, ON, Canada
... Complete knowledge of Chart of accounts - GL coding and book keeping. Strong leadership and team building skills Excellent verbal and written communication skills Ability to understand and formulate a clear vision of any project Excellent problem ...
- 2020 Nov 02
Etobicoke, ON, Canada
... GL Financial Accounting; Projects; Budgets; Tax Configuration and Suppliers ̵Single Sign On (SSO) connect with ADFS - Microsoft SSO using SAML 2.0 and OneLogin ̵Master data conversion experience from in-house and 3rd Party Payroll Providers ̵Time ...
- 2020 Oct 05
Milton, ON, Canada
... Absence Management, Benefits, E-Biz Tax, PA, AR, AP, PO/iProcurement, GL, GIS iTime/OTL, iExpense, iStore, Cash Management, Sub-Ledger Accounting), PeopleSoft (CRM, AP, ePro, GL), PropWorks (Airport Billing system), Banner (R2.2) Utility CIS System. ...
- 2020 Sep 23
Brampton, ON, Canada
... Contact Info Software Skills Oracle E-Business Suite R12 Financial & Supply Chain Modules (AP, GL, SLA, AR, CM, AGIS, OM, INV,BOM, WIP, iExpense, iProcurement), ORMB Oracle Reports(6i/11g)/Forms Builder, OAF, BI Publisher, Oracle Discoverer, ...
- 2020 Sep 20
Burlington, ON, Canada
... manage dispute resolution within reasonable timelines Prepare journal entries and accruals for the month-end financial close GL accounts Reconciliation Provide detailed analysis and reports for use by senior management Assist in the financial ...
- 2020 Jun 18
Etobicoke, ON, Canada
... Cash management, reporting, reconciling and collection GL accounts may also be assigned. Responsible for correcting discrepancies and explaining monthly differences in account analysis and reconciliation. Responsible for monthly general ledger ...
- 2020 Jun 13
Mississauga, ON, Canada
... analyze GL accounts and month end journal entries, • Monthly Bank Reconciliation. EDUCATION Courses • Professional Firm Economics 101 to 303, • Tax Research 101, 102, 103, • Corporate Taxprep, • Harvard ManageMentor (HMM) 2014, • Assignment ...
- 2020 Jun 04
Brampton, ON, Canada
... Student Financials, Employee Self Services, manager Self Services, ePerformance, Personal security) Modules and FSCM (GL, AR, AP, PO, Billing, AM, EPM, Cash Management) Experienced in PeopleSoft version 8.x, 9.1, 9.2 and tools version 8.4x, 8 ...
- 2020 Jun 01