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Ashburn, VA
... Voucher creating, Two- way, Three-way and Four-way match (PO, Dispatch, Receipt and Inspection) Voucher Build, Control Group Verification, Pay-Cycle processing, 1099 Processing, Bank Reconciliation, GL Integration, Vendor & Voucher reports. ...
- Feb 06
Washington, DC
... (10+ years) • Management Experience (10+ years) • MCIT (8 years) • Contract Negotiation (4 years) • Account reconciliation • Clerical experience • Investment banking • Private equity • Analysis skills • Presentation skills • Cold calling • ...
- Feb 05
Fairfax, VA
... ● Ensure timely payments to the Suppliers, internal and external, adhering to proper approvals and controls ● Review & ensure timely reconciliation of Vendors/ Creditors, Payroll, and GR/IR accounts. ● Providing support to the internal customers / ...
- Feb 05
Ashburn, VA
... § Responsible for daily bank deposits, credit card transactions, and customer account reconciliation in accounting system (Sigex). § Processed payroll semi-monthly using the ADP database for all hourly and salary employees. Crowell & Moring LLP, ...
- Feb 02
Herndon, VA
... Performing and coordinating with the internal & external stakeholders for Audit requirements Reconciliation of GL & Bank Accounts and Review of Profit and loss & Balance sheet Journal voucher before posted into SAP GL Ledger Performing Quarter & ...
- Feb 02
Washington, DC
... • Budget Management Invoice Reconciliation Vendor Payment Systems. SKILLS EDUCATION Syracuse University, Martin J. Whitman School of Management Syracuse, NY MBA Candidate September 2022 - March 2024 Lincoln University Lincoln, Pennsylvania Bachelor ...
- Jan 31
Ashburn, VA
... Developed complex SQL queries for reconciliation and management reports Planning instances for configuration, development, Integration Testing, User Acceptance Testing. Defined Concurrent Executables, Programs and register them to different ...
- Jan 31
Washington, DC
... Senior Financial Data Analyst Deloitte Jan 2012 – Sep 2014 Navy Financial Management Corporation: Wrote Trial-Balance-Reconciliation SAS programs for the Navy Financial Management Office. The SAS code organized the financial transactions of each of ...
- Jan 31
Washington, DC
... PROFESSIONAL SUMMARY Business Office Manager using top-notch organizational skills to handle: SKILLS ● Office Management Cash Flow and Reconciliation ● Profit and Loss Statements ● Accounts Payable and Receivable ● Staff Training/ Management ● ...
- Jan 30
Fairfax, VA
... ● Created a reconciliation dashboard for county construction jobs to ensure accurate billing and capital tracking of resources, thus strengthening our partnership with Fairfax County. Accountant 1 2006-2007 Boys and Girls Club of Alaska Anchorage, ...
- Jan 29