Illinois City, IL
... Cloud-Native Online Banking System • Engineered Spring Boot REST APIs for accounts, transfers, and statements with Spring Security JWT, ACID transactions, and audit trails on MySQL, reducing reconciliation errors by 40% and improving data integrity. ...
- Sep 03
Neosho, MO
... Accounts Receivable / Accounts Payable Cash Application QuickBooks Journal Entries Bank Reconciliation EDI Account Reconciliation ERP Systems General Ledger Accounting PROFESSIONALEXPERIENCE CHURCHWELL HEDMAN TAX GROUP,Joplin, MO 2025 - Present ...
- Sep 03
San Jose, CA
... ● Revamped finance-suite modules (invoicing, reconciliation, refunds) with simplified UIs and optimized data flows, shrinking month-end close time 60 % and halving support tickets. ● Orchestrated Kafka Spark ETL and Looker dashboards, slashing ...
- Sep 02
New Smyrna Beach, FL
... 2025 Office Manager & Accountant ● Job Allocation and daily reporting of bank reconciliation ● Bill to vendors and customers ● Complete all accounting including accounts payables & receivables, AR journal entries, maintaining general ledger, and ...
- Sep 02
Westmont, IL
... Match • QuickBooks Accounting Software (Web & Desktop) • CCC Software (Auto Body Platform) Experience Trinity Lutheran Church – Lisle, IL * Stacked Roles* January 2014 – 2017 Created financial transactions and reconciliation of accounting journals. ...
- Sep 02
Jersey City, NJ
... Daily bank reconciliation of direct wire transfers and ACH payments from vendors. Accounts Payable Specialist Consultant – Accounting Principles New York, NY June 2018 – September 2018 Client: inVenti Medical Communication, Inc. Full cycle accounts ...
- Sep 02
Suwanee, GA
... BI, Advanced Excel, Data Mapping, Data Validation, Data Migration ERP & Finance: Dynamics GP, Blackline, SAP, GL & Subledger Reconciliation, Audit & Compliance Testing: UAT, SIT, Regression Testing, Test Case Design, Defect Management Soft Skills: ...
- Sep 02
Allentown, PA
... payments Enter and post entries for vendor payments Daily and weekly check runs Code and enter journal entries Assist AP with reconciliation of vendor statements research and correct discrepancies Process accurate and timely weekly and month-end A/P ...
- Sep 02
Saint Johns, FL
... Providing oversight for clients’ social services Audit of facility and staff records for Florida state compliance Reconciliation of payments from various sources such as Medicaid, Private/Pension Insurance Participate in State Examination of ...
- Sep 02
United States
... Performed root cause analysis on premium reconciliation mismatches across multiple regional underwriting systems, identifying ETL breakdowns and data-type inconsistencies that, once resolved, enhanced monthly audit and improved reporting alignment ...
- Sep 02