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Resumes 21 - 30 of 1629 |
Delaware, OH
... Analysis Reports CapEx Accounts Payable/Receivable Cash Reconciliation Process Improvement Producing Buy-Ins and Buy-Outs ... Protect company assets by ensuring proper procedures are followed for cash disbursements, cash receipts and bank ...
- May 13
Columbus, OH
... verifying information on existing accounts Minimizing credit loss by, using excellent problem-solving skills JP Morgan Chase Bank, Westerville, OH 2000 - 2016 Focusing on evaluating and analyzing data Excellent attention to detail Consistent with ...
- May 11
Dublin, OH
... meticulous funding acquisition and expenditure reconciliation. ●Efficiently directed the migration of Merchant Gateway to WorldPay, delivering technology that was both innovative and secure. Huntington Bank, Columbus Agile Project Manager Dec 2020 — ...
- May 10
Reynoldsburg, OH
... Provide technical guidance in the analysis and reconciliation of accounts management and vast attention to detail when processing of patient accounts. •. Ability to coordinate classification of complex financial risk management, analysis, audits ...
- May 09
Canal Winchester, OH
... 2017 General ER Clerk August 2017- April 2018 -Equipment Room -Group Coordinator -Returns -Hospital UCB April 2012-Spetmeber 2016 Collector, Columbus OH -Resurgent -City Bank -Sears CREDIT Cards -Verizon -Medical -Student Loans -Tax -E-Mails ...
- May 09
Powell, OH
... July 17, 2023 - Present USA PROFESSIONAL EXPERIENCE Bilingual Senior Contact Customer Specialist / Resource Guide Upstart - Full time Experience in customer service for consumer lending, personal banking, loan servicing. Cross functional Roles ...
- May 08
Columbus, OH, 43201
... Enterprise SAN & Storage Administrator – TEKsystems Residency 01/2010 – 01/2011 TEKsystems subcontracted to the Bank of America / Merrill Lynch Provide day-to-day support for multiple SANs and storage for international broker account systems. Review ...
- May 08
Columbus, OH
... • Reconciliation: Experience in developing reconciliation strategies and procedures to ensure data accuracy and integrity ... 2013) Project: Implemented EFT Payment in Account Payable with a bank Position: Technical Analyst Actively participated in ...
- May 08
Canal Winchester, OH, 43110
... March 2013 to February 2014 Posted all monies to proper customer account, researched payments scanned these monies to the bank for deposit, identified all intercompany payments, balanced all monies and entered on the Cash Journal each day. ...
- May 05
Blacklick, OH
... Receivable, Bank/Account Reconciliations, Inventory, Payroll, general ledger JE adjustment and SALT/CAT tax filings. ... ATX/CCH tax and financial service industry software for mortgage/loan processing & financial services Epic/Epicor/Brightree ...
- May 03