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Resumes 51 - 60 of 846 |
Brooklyn, NY
... In-clearing backup: Handled bad checks, returned items FED GL report; paid items manually for managers & rejects/ paid money orders, tellers/certified checks verified high dollars, invalids; bad account numbers, certified checks & adjustments. ...
- 2023 Nov 10
Brooklyn, NY
... Investigation of invalid chargebacks/claims (shortages, pricing, EDI, MDA’s) for collections or w/o’s to proper GL. Cash application of Accounts Receivables payments received: ACH, checks, wires (JP Morgan) in SAP system for both domestic and ...
- 2023 Nov 05
Brooklyn, NY
... 4K S35 Digital Cinema Camera, Teradek Bolt 4K Series, Cannon 2R960 with 41X Advanced Zoom digital camera, along with Cannon GL-2 Mini DV Camcorder, Bolex H16 Reflex Camera for 16mm film, Camera 5D Mark 3, Arri Amira Series, Panasonic AK-UC4000 4K, ...
- 2023 Nov 05
Montvale, NJ
... Analyst responsible for all cash applications via ACH, WIRE, LOCK BOX Process GL entries for non-AR receipts Maintain SAP AR profile for all customers Resolve customer short payment issues Reviews past due accounts in an attempt to obtain payment; ...
- 2023 Nov 02
Elmwood Park, NJ
... Led Finance Supervisors and GL coordinators, and interfaced with 50 Area Managers and 10 National Account Managers on a biweekly basis to monitor and correct labor expenses constituting 60% of total costs. Improved contents of a biweekly labor ...
- 2023 Oct 31
The Bronx, NY
... In charge of the day-to-day operations of the accounting department Prepared quarterly financial statements, job setups, job costs, WIP, investigated variances & reconciles GL. Prepared bank recs, supervised/monitors treasury and overseas company’s ...
- 2023 Oct 29
Newark, NJ
... "First call" responsibilities for all CitiGroup users globally, utilizing Remedy call system, Windows NT 4 user administration, Novell user administration, mainframe (GL) user management (password resets, "locked- out" users). Part of a small group ...
- 2023 Oct 28
Haledon, NJ
... Complete control of GL – record and reconcile all transactions Observe and assist in month end Inventory counts and subsequent reconciliation to GL. Monthly / End of Year closing of books Maintain schedules (Prepaid / Accrued Expense etc.) in order ...
- 2023 Oct 11
New York, NY
... 2010 Managed a development effort, within Operational Change Management (OCM), which attempted to create a daily reconciliation between the organizations (Global BAC/Merrill) internal market risk application and the sub & general ledger (Oracle GL); ...
- 2023 Oct 11
West Orange, NJ
... GL Solutions, Angela Llinas, Client Leader, 703-***-****. • Performed English and French interpretation for the Tunisian Delegation-Ministry of Finance and New Jersey Office of the Chief Economist for a five-day conference on Revenue and Economic ...
- 2023 Oct 09