Credit card clerk job offers

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  • [JGH-418] Financial Accountant

    Vaco by Highspring Richmond Hill, ON

    ...Fixed Assets sub-ledger maintenance, recording, reporting and reconciliation. Process and reconcile vendor payments, employee expense claims, and Corp credit...
    4 days ago in Kitjob

    Report
  • [UOK-128] - Accountant

    ISP SOLAR Montréal-Nord, Montréal, QC

    ...and up to date. Maintain accurate general ledger and sub-ledger balances, ensuring consistency with supporting documentation. Conduct monthly bank and credit...
    4 days ago in Kitjob

    Report
  • (ZXQ127) | Financial Accountant

    Vaco by Highspring East York, East York

    ...Fixed Assets sub-ledger maintenance, recording, reporting and reconciliation. Process and reconcile vendor payments, employee expense claims, and Corp credit...
    4 days ago in Kitjob

    Report
  • (Q529) Accounts Receivable Associate

    Important Group Brampton, ON

    ...accounts receivable, including new customer set up. Maintain precise records of all incoming payments. Prepare and send invoices to clients. Process credit...
    6 days ago in Kitjob

    Report
  • Accounts Payable/Accounts Receivable Specialist (YQ-606)

    Silver Gold Bull Northeast, Calgary, AB

    ...card, PayPal, and other electronic payment transactions. Perform fraud prevention reviews and investigations. Maintain strict confidentiality of financial...
    2 days ago in Kitjob

    Report
  • Accountant [BY-910]

    Entourage X Lachine, QC

    ...Card Statements. Oversee Accounts Receivables and Accounts Payables (prepare and send invoices, match invoices with PO’s, follow up with clients' payments...
    4 days ago in Kitjob

    Report
  • Financial Accountant | UV-198

    Vaco by Highspring Burlington, ON

    ...Fixed Assets sub-ledger maintenance, recording, reporting and reconciliation. Process and reconcile vendor payments, employee expense claims, and Corp credit...
    4 days ago in Kitjob

    Report
  • [YV495] Financial Accountant

    Vaco by Highspring Whitchurch-Stouffville, ON

    ...Fixed Assets sub-ledger maintenance, recording, reporting and reconciliation. Process and reconcile vendor payments, employee expense claims, and Corp credit...
    4 days ago in Kitjob

    Report
  • DGP320 Financial Accountant

    Vaco by Highspring King City, ON

    ...Fixed Assets sub-ledger maintenance, recording, reporting and reconciliation. Process and reconcile vendor payments, employee expense claims, and Corp credit...
    4 days ago in Kitjob

    Report
  • (SI896) | Financial Accountant

    Vaco by Highspring Toronto, ON  +1 Location

    ...Fixed Assets sub-ledger maintenance, recording, reporting and reconciliation. Process and reconcile vendor payments, employee expense claims, and Corp credit...
    4 days ago in Kitjob

    Report
  • (V-824) - Financial Accountant

    Vaco by Highspring Ajax, ON

    ...Fixed Assets sub-ledger maintenance, recording, reporting and reconciliation. Process and reconcile vendor payments, employee expense claims, and Corp credit...
    4 days ago in Kitjob

    Report
  • General Accountant [XY-672]

    Only for registered members Toronto, ON

    ...end close of multiple entities, including preparation of all JE's, accruals and monthly reconciliations. Perform monthly reconciliation of corporate credit...
    6 days ago in Kitjob

    Report
  • Accountant Associate | (D-677)

    AIRE Ancient Baths Toronto, ON

    ...invoices for timely payment and maintain accurate vendor records. Manage petty cash supply and ensure proper documentation of expenses. Process company credit...
    6 days ago in Kitjob

    Report
  • Financial Accountant [RP-448]

    Vaco by Highspring Mississauga, ON

    ...Fixed Assets sub-ledger maintenance, recording, reporting and reconciliation. Process and reconcile vendor payments, employee expense claims, and Corp credit...
    4 days ago in Kitjob

    Report
  • Financial Accountant (M-54)

    Vaco by Highspring Pickering, ON

    ...Fixed Assets sub-ledger maintenance, recording, reporting and reconciliation. Process and reconcile vendor payments, employee expense claims, and Corp credit...
    4 days ago in Kitjob

    Report
  • Financial Accountant - (JAZ220)

    Vaco by Highspring Whitchurch-Stouffville, ON

    ...Fixed Assets sub-ledger maintenance, recording, reporting and reconciliation. Process and reconcile vendor payments, employee expense claims, and Corp credit...
    4 days ago in Kitjob

    Report
  • Accounts Payable Accountant [Q-722]

    Johnson Ancaster, ON

    ...reports against receipts and policies. Maintain vendor relationships and address payment inquiries courteously and promptly. Conduct audits of corporate credit...
    7 days ago in Kitjob

    Report
  • IMZ565 - Financial Accountant

    Vaco by Highspring Milton, ON

    ...Fixed Assets sub-ledger maintenance, recording, reporting and reconciliation. Process and reconcile vendor payments, employee expense claims, and Corp credit...
    4 days ago in Kitjob

    Report
  • MTT494 - Project Accountant

    Jen-Col Construction Acheson, Acheson

    ...Support Accounting Manager during month-end close as required. Reconcile project-related credit card charges. Record customer payments on project billings.
    6 days ago in Kitjob

    Report
  • Accountant Supervisor/Manager - [RW766]

    new Highlight Motor Freight Concord, ON

    ...credit limits. Work closely with other companies’ accounting teams to record and reconcile sizable intercompany transactions. Communicate with customers and...
    1 day ago in Kitjob

    Report
  • JDI911 Financial Accountant

    Vaco by Highspring Whitby, ON

    ...Fixed Assets sub-ledger maintenance, recording, reporting and reconciliation. Process and reconcile vendor payments, employee expense claims, and Corp credit...
    4 days ago in Kitjob

    Report
  • GB-302 Financial Accountant

    Vaco by Highspring Scarborough, ON

    ...Fixed Assets sub-ledger maintenance, recording, reporting and reconciliation. Process and reconcile vendor payments, employee expense claims, and Corp credit...
    4 days ago in Kitjob

    Report
  • PWR927 | Financial Accountant

    Vaco by Highspring Etobicoke, ON

    ...Fixed Assets sub-ledger maintenance, recording, reporting and reconciliation. Process and reconcile vendor payments, employee expense claims, and Corp credit...
    4 days ago in Kitjob

    Report
  • LD-472 | Accountant Supervisor/Manager

    new Highlight Motor Freight Concord, ON

    ...credit limits. Work closely with other companies’ accounting teams to record and reconcile sizable intercompany transactions. Communicate with customers and...
    1 day ago in Kitjob

    Report
  • [CR-987] - Financial Accountant

    Vaco by Highspring Toronto, ON

    ...Fixed Assets sub-ledger maintenance, recording, reporting and reconciliation. Process and reconcile vendor payments, employee expense claims, and Corp credit...
    4 days ago in Kitjob

    Report
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