• Bank Reconciliations

    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
    EverBank (01/03/25)
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  • Accounting and Reporting Manager

    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 (11/05/24)
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  • Finance Accountant, Level 4 (Provisional)…

    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
    CUNY (10/21/24)
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  • Head of Business Execution and Operational Risk,…

    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
    Citigroup (12/18/24)
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  • Finance Specialist - Accounting/Accounts Payable

    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
    CUNY (10/10/24)
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  • Accountant

    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
    Cushman & Wakefield (12/31/24)
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