- EverBank (Islandia, NY)
- …+ Physical Requirements: Sedentary Work **Career Level** 7PL **Additional Information** The Reconciliations & Monitoring Manager will lead a team ... **Banking Ops Manager ** The Banking Operations Manager job...Provides guidance on reconciling non-routine customer, branch operations or bank inquiries. + Ensures compliance with corporate, regulatory and… more
- CUNY (New York, NY)
- …in resolving financial issues; prepares routine journal entries and monthly account bank reconciliations . - Manages and tracks the performance of invested ... Accounting and Reporting Manager **POSITION DETAILS** The Graduate Center is the...the accounting functions (including, but not limited to, cash reconciliations , investment account reconciliation, accounts receivable transactions, fixed asset… more
- CUNY (Queens, NY)
- …special books of accounts. - Posting accounting entries. - Preparing trial balances, bank reconciliations , and similar. - Establishing and maintaining codes for ... entries, including adjustments, closings, and extension. - Preparing trial balances, bank reconciliations , operating statements, and financial schedules. -… more
- Citigroup (Queens, NY)
- …Allocation and Investment strategy for all the International Pension Plans. The USPI Manager for US Pension Investments ("USPI") will bolster the Risk & Controls ... to improve investment procedures documentation for the USPI team and the ongoing monitoring of the procedures and to address any deficiencies identified in the… more
- CUNY (Queens, NY)
- …direction. * Review and approve/post transactions for Non-Tax Levy entities. * Oversee the bank reconciliations of multiple bank accounts and report to CUNY ... Exempt **CAMPUS SPECIFIC INFORMATION** The Finance Specialist, reporting to the Finance Manager , will perform various tasks in the office of Accounting and Accounts… more
- Cushman & Wakefield (New York, NY)
- …reporting on actual vs budget/forecast + Monthly review and sign off of bank reconciliations + Oversee monthly deliverables timetable to ensure delivery dates ... and quality procedures are followed + Support Regional Finance Manager with client reporting + Drive automation of routine...Client Accounting + Sales Tax reporting + Withholding Tax monitoring and reporting + Provide audit support for Annual… more