110 Cash Reconciliation Jobs in The Bronx, NY
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JUNIOR ACCOUNTANT Montefiore Medical Center - The Bronx, New York , account reconciliations, cost and related reports. Responsibilities include: Assist in month- end close journal entries. * Medicaid Cash * Additional inpatient contractual allowances * reserve for denials 20 days ago
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Accountant The Bronx Brewery - Bronx,New York to accounting functions Prepare supporting reports for income taxes, excise and other taxes Bank account and credit card reconciliation Assist in managing company cash flow Manage Prepaid and Accrued Expenses $65000-75000 k per Yearly 28 days ago
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CLO Operations Associate Atlantic Group - New York, NY, United States Responsibilities: Broad operational responsibilities surrounding CLOs, such as: cashflow calculations, hypothetical trade tests, cash reconciliations, waterfall distributions, and more Closing par 3 days ago
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Senior Management Consultant Level II - Cash Management, Revenue Cycle Administration NYC Health Hospitals - New York, NY, United States AND RESPONSIBILITIES: A member of the Revenue Cycle Services (RCS) Team, the M Sr Management Consultant, Cash Management will assume responsibility for Professional Billing cash posting and reconciliation, patient 3 days ago
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Manager, Outpatient Billing St. John's Riverside Hospital - Yonkers, New York requirements).Maintains appropriate internal controls over cash posting and reconciliation functions.Maintains a current awareness of third-party reimbursement regulations and contractual arrangements with HMOs 4 days ago
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Healthcare Accounting/Financial Consultant ($70/Hr, Remote/WFH/Must be local to Maryland) Equity Staffing Group - New York, NY, United States . In addition, the candidate will oversee the reconciliation of the state's bank accounts used to fund provider payments and communicate cash flow needs to the State of Maryland. In addition 3 days ago
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Accounting Manager(FAST TRACK)-NJ Candidates ONLY-(Salary $130-135k+bonus) Weehawken, NJ, United States optimal cash flow to address operational needs, i.e. debt payments. Inventory – manage inventory costing and reconciliation. Annual Financial Statement Audit - responsible for annual audit preparation 5 days ago
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Accounting Clerk St. John's Riverside Hospital - Yonkers, New York entry and experience in the use of a calculator. Type 45 words per minute. Excellent customer service skills Basic computer and math skills. Knowledge of bank reconciliation. Knowledge of Microsoft Word 4 days ago
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Jr. Field Accountant Halmar International - New York, NY, United States Summary Jr. Field Accountant will provide financial and administrative support to Halmar International project office in New York, New York. Responsibilities Petty cash reconciliation. Reconcile 6 days ago
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Treasury Analyst Private Equity Firm - New York, NY, United States FIRM: $30B+ private equity firm with a great track record. *5 days in office ROLE: Treasury Analyst - will oversee treasury and cash management functions Responsibilities: Bank reconciliations 6 days ago
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- New York, NY (76)
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