NXGN Management LLC is seeking a Representative II for Collection Services to facilitate payment collection from delinquent client accounts. The role requires a high school diploma or GED, along with at least 3 years of experience in accounts receivable or collections.
B2B Collections Specialist II — Accounts ReceivableNational Dealer Treasury Management Officer to join their Chicago team. This role involves business development, client relationship building, and ensuring client service excellence within treasury management.
Treasury Management Sales Leader — National AccountsETS India is looking for a Treasury Analyst to manage daily cash positioning and disbursement activities for international subsidiaries. The role includes responsibilities such as validating payment instructions, compiling data for dashboards, and contributing to process improvements within treasury
Global Treasury Analyst: Cash Management &AnalyticsA leading financial services firm is seeking an Internal Consultant to support external sales strategies. This position requires excellent interpersonal skills, a strong client-focused approach, and a background in financial services. Candidates should have a FINRA Series 6, 7, or 65, and 2-5 years
Strategic Internal Consultant (Financial Services)Flexible Spending Accounts/Health Savings Accounts. Completes appropriate account maintenance by ensuring the correct statement groups, financial class, and payer codes. Accurately documents all follow‑up on accounts to ensure there is an accurate record of the steps taken to collect on an account
Accounts Receivable Representative III (Remote)The Director Financial Controls & Compliance (FC&C) US - will plan, execute, and ensure delivery of high-quality compliance, controls testing, risk advisory that meet Novartis Financial Controls Manual (NFCM) methodology standards, SOX 404 requirements and strategies. The Director Financial Controls
Director Financial Controls & Compliance USOutten & Golden LLP is seeking a Director of Finance in New York to manage accounting operations, including oversight of the general ledger, business taxes, and treasury activities. This role reports to the CFO, with a focus on strategic financial oversight. The candidate should have a bachelor's de
Finance Director: Cash Flow & Financial StrategyA leading pharmaceutical company in New Jersey seeks a Director of Financial Controls & Compliance to oversee compliance, controls testing, and advisory. The role involves leading a team, ensuring compliance with SOX 404 standards, and enhancing controls through automation. The ideal candidate will
US Director of Financial Controls & ComplianceWe're currently seeking a Property Management Accounts Receivable/ Collections for our multi-family portfolio of properties, with at least 2 years of general accounting experience. Review accounts receivable reports for delinquencies & and prepayments. Knowledge of accounts receivable.
Property Management Accounts Receivable/ CollectionsEmpire Electric Maintenance and Service in New York is looking for an Accounts Receivable Representative to manage full cycle account receivables and maximize cash collections. The ideal candidate has 2-5 years of cash collections experience and proficiency in Microsoft Office.
Accounts Receivable Specialist: Cash Collections & CloseMaterials Management Intern (Summer) Come join our team for the summer! We are looking for an intern to be a part of our Materials Management Team for a temporary, but necessary and exciting position!.
Accounts Receivable Specialist: Drive Cash Flow & InsightThe Accounts Receivable Specialist Collections and Cash Applications professional is responsible for providing accurate and timely cash application and collection efforts to support the objectives of the company. Accounts Receivable Specialist - Collections and Cash Application. We are looking for
Accounts Receivable Specialist - Collections and Cash ApplicationThe Financial Planning Manager is responsible for developing, maintaining, and improving the cash flow forecasting processes for the Financial & Corporate Compliance (FCC) Division. Hands-on cash flow forecasting experience and strong understanding of cash flow concepts - operating vs. Monitor cash
Financial Planning Manager - Cash FlowSenior Accounts Receivable / Order-to-Cash Specialist. This role is responsible for fully owning the Accounts Receivable and Order-to-Cash process in a standalone capacity. The position plays a critical role in driving cash flow, reducing aging balances, and improving AR operations, managing a high-
Senior Accounts Receivable / Order-to-Cash SpecialistFY26 - Financial Services - Global Compliance and Reporting - Real Estate - Tax Manager. EY is a leader in serving the global financial services marketplace and the only professional services firm with a separate business unit dedicated to the financial services industry the Financial Services Orga
FY26 - Financial Services - Global Compliance and Reporting - Real Estate - Tax ManagerThe Global Transaction Banking Department (GTBD) Americas Office provides a wide range of transaction banking services, including payments and collections, liquidity management, cash pooling, trade finance (L/C, Supply Chain Finance, Standby L/C), FX, and treasury-related solutions. Prior exposure t
Transaction Banking Business, Cash Management Service (“CMS”) ImplementationBusiness Analyst, Accounts Receivable Governance and Compliance. Invoicing Governance and Compliance Specialist to join the Accounts Receivable team at our US Headquarters in Iselin, NJ (MetroPark area). Business Analyst, Accounts Receivable Governance and Compliance.
Business Analyst, Accounts Receivable Governance and ComplianceYou will play a vital role in supporting the Chief Risk Officer, Chief Financial Officer, Risk Management, Risk Technology, Finance and Planning & Analysis, Investor Relations, and SEC Reporting. Global Finance & Business Management works to strategically manage capital, drive growth and efficiencie
Risk Management and Compliance: Wholesale Credit Analytics & Reporting AssociateProcess and coordinate daily payment and collection activities, including supporting internal payment approval workflows and ensuring compliance with company policies and internal controls. Perform bank reconciliations and maintain accurate cash records; support cash flow monitoring and liquidity ma
Cash & Treasury Management AssociateYou will design, automate, and maintain reporting and analytics solutions, delivering high-quality Executive Management Reports and dashboards used by senior leaders across Risk Management and Compliance. Complete monthly financial close activities, including management reporting adjustments, foreca
Risk Management & Compliance Planning & Analysis Reporting, Automation & Analytics Associate