06.05.2024 | Full-time | OIA GlobalAre worked on each day and kept at an absolute minimum. Monitoring and processing of items highlighted each week on the Un-Reconciled Report Assist as required with the month-end Bank reconciliations To update CW1 with documentation where required. To undertake ad hoc and other duties to assist the AR Team
Uita-te mai târziu06.05.2024 | Full-time | Antal InternationalAnd submit all statutory, tax, and other declarations (e.g., D100, D101, D120, D207, D300, D390, D394, Intrastat). Participate in the monthly closing process and conduct reconciliations for all general ledger accounts. Recommend improvements to accounting processes and systems to enhance efficiency. Serve
Uita-te mai târziu06.05.2024 | Full-time | MarkJames SearchDocumentation, initiate and control each SW Services icing, 3rd party management, Cost and revenue accounting tracks project financials, balance sheet reconciliationMonth end closing activities cost and revenue recognition, financial transaction posting in NS, Data quality, financial
Uita-te mai târziu06.05.2024 | Full-time | Garrett - Advancing MotionOf Balance Sheet account reconciliations as per account reconciliation policy in a qualitative manner & supervision of the Balance Sheet account reconciliations prepared by direct reports to ensure these adhere to the policy as well as quality standards. Drive and ensure complete and accurate fixed assets
Uita-te mai târziu06.05.2024 | Full-time | Lexstra PlcAnd General LedgerAlternative InvestmentsPriority 3GAINData managementCorporate Action processingKnowledge of investments life cycle topics (trade processing, settlements, SWIFT, reconciliation etc.) is nical IT knowledge and experience in multiple areas of SQL, XML, XSLT, system integration
Uita-te mai târziu06.05.2024 | Full-time | F063 DB Global Technology SRLTesting data feeds via SDP especially test execution;Setup reconciliation and data quality checks for data feeds with respect to RtB (Run the Bank).RequirementsProven understanding of bank processes;Knowledge of banking products;Experience in documentation of business requirements;Knowledge of data
Uita-te mai târziu05.05.2024 | Full-time | Sibiu | thyssenkrupp Bilstein S.A.E.g. accrual checks, revenue and expenses checks);Sub ledger reconciliation to GL(AP,AR,FA);Liaise and coordinate with the other departments to understand and improve accounting activities;Provide support & answer queries coming from Controlling or other departments;Tracking and local tax settlement
Uita-te mai târziu05.05.2024 | Full-time | Baia Mare | SNC-LavalinTo ensure timely invoicing and uct regular data analysis and reconciliation to identify trends and opportunities for process st in month-end closing activities and support the finance team with revenue recognition re the maintenance and organization of billing
Uita-te mai târziu05.05.2024 | Full-time | Cluj-Napoca | ZF GroupTransform, and load (ETL) data from source systems to target SAP platforms Conduct data reconciliation and validation to ensure data accuracy and integrity Collaborate with technical and functional teams to resolve data-related issues and discrepancies Provide post-migration support and troubleshooting
Uita-te mai târziu05.05.2024 | Full-time | Cluj-Napoca | Wolters Kluwer Financial Services Romania SRLBy evaluating the credit risk of a customer and making recommendations to the Finance Director/CFORegularly reviewing the credit limits of existing customers and make recommendationPrepare regular Aging reportsWeekly update of upcoming collectionsAccounts Receivable reconciliationCustomer relationsAd-hoc
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