106 Cash Reconciliation Jobs in Yonkers, NY
-
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
-
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
-
Staff Accountant Enterprise Engineering Inc. (EEI) - Tarrytown, NY, United States summary, maintain monthly cash receipts journals for bank accounts; prepare journal entries and bank reconciliations. Prepares standard/recurring monthly journal entries into the General Ledger (revenue 3 days ago
-
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
- Forum: Start a Discussion Join
-
Staff Accountant Creative Financial Staffing - Yonkers, NY and year-end closing activities Accounts payable/receivable Cash receipts Payroll and expense reconciliation Check runs What we need: Proven working experience in accounting - minimum of one year of general $80,000 - $90,000/Year 15 days ago
-
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
-
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
-
Asset & Wealth Management, XIG, Platform Management, Hedge Funds, SMA Investments, Vice President - New York Goldman Sachs - New York, United States cash and derivative products Daily P&L and holdings reconciliation oversight, and responsible for all financial aspects of the Program to include NAV oversight and performance reporting Represent Competitive Yesterday
-
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
-
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
Top locations
- New York, NY (76)
- Stamford, CT (9)
- White Plains, NY (9)
- Jersey City, NJ (7)
- The Bronx, NY (5)
- Hauppauge, NY (5)
- Melville, NY (5)
- Oakland, NJ (4)
- See more