Part - time opportunity assisting with preparing confidential employment and labor relations documents,
performing daily bank deposit reconciliation, answering phone calls, and processing vendor invoices.
Responsible for daily, weekly, and monthly account activities including timely and accurate accounts payable, accounts receivable, payroll, bank reconciliation of all corporate accounts, cash receipts, disbursements, invoicing, and preparation of daily bank deposits
Assisted customers, heavy problem solving, heavy phones, data entry, 10 - key
Prepared daily bank deposits, inter office relations, daily delivery of reports to Warehouse, supervision of front office staff, assisted in daily issues with Management / owners.
Supervised all scheduling coverage of Computer Room / Vault Associates Responsible for training all Computer Room / Vault Associates to use equipment and computer programs Balanced the vault which included till balancing procedures, and
daily bank deposits error free Accounts Payables, Receivables, Managed Employee Committee Funds On call for troubleshooting and necessary action when registers, phone system, computers, printers and any peripheral components malfunctioned.
Counted, prepared, and
reconciled daily bank deposits, maintained a balanced safe, and requested maintenance checks on cash registers, computers, and other equipment.
Prepared and maintained weekly payroll accounts for a staff of five, provided everyday balance reports to District Manager with «zero errors», and
processed daily bank deposits.
Managed diversified Accounts Payable and Receivable and expenditure control methods including bank and account reconciliation, cash receipts, disbursements, finance charges, billing, invoicing, purchase order and inventory verification, charge - backs, rebates, and preparation
of daily bank deposits.
We have a career opportunity for an experienced, passionate and dedicated - Part Time Administrative Assistant We are looking for an Part Time Administrative Assistant to
prepare daily bank deposits...
General management of the office including opening and closing the office on time each day, keeping and balancing cash,
making daily bank deposits and preparing...
Checks patients out after office visits, tallies charges and collects co-pays, accurately enters charges, and provides patient with a written receipt at time of discharge Responsible for a variety of financial duties including balancing the daily record sheets, payment posting, adjustment posting, patient financial counseling, and the preparation and delivery of
the daily bank deposit.
They are also responsible for writing checks or for keeping track of
the daily bank deposits.
Handled diversified Accounts Payable and Receivable and expense control procedures including bank and account reconciliation, cash receipts, disbursements, finance charges, billings, invoicing, purchase order and inventory verification, and preparation of
daily bank deposits.
Overseeing and managing daily operations of the clinic by pulling sales reports,
daily bank deposits, maintaining inventory and ordering supplies.
May also prepare
the daily bank deposit and financial reports, maintain databases and troubleshoot automated technology malfunctions.
For instance, «responsible for
daily bank deposits» (no verb) could easily be «oversaw daily bank deposits» (strong verb).
and prepare
daily bank deposit.
Count cash drawers and discuss overages and shortages with employees; prepare
daily bank deposits.
Maintained accounts receivable records, processed payments, prepared
daily bank deposits and followed up on outstanding payments due.