Accounts Specialist jobs in Oregon

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ACCOUNTING SPECIALIST

Accounting Specialist Shift: 7:00am-3:30pm Monday-Friday KEITH Walking Floor Systems provide horizontal loading/unloading solutions for bulk materials, pallets, bales and rolls. The company's state of the art production facility i...

CompanyKeith Mfg Company
AddressMadras, OR
CategoryAccounting/Finance
Job typePermanent
Date Posted 4 weeks ago See detail

Accounting Specialist

Keith Mfg Company

Madras, OR

Accounting Specialist Shift: 7:00am-3:30pm Monday-Friday KEITH Walking Floor Systems provide horizontal loading/unloading solutions for bulk materials, pallets, bales and rolls. The company's state of the art production facility i...

Fund Accounting Specialist

Koin

Cornelius, OR

Manage the expense payment process for fund invoices . Directly support the preparation and review of fund financial statements . Participate in fund audits and help with periodic tax reviews . Monitor and report team metrics . W...

Fund Accounting Specialist

Koin

Hubbard, OR

Manage the expense payment process for fund invoices . Directly support the preparation and review of fund financial statements . Participate in fund audits and help with periodic tax reviews . Monitor and report team metrics . W...

Accounting Specialist

Keith Mfg Company

Madras, OR

Accounting Specialist Shift: 7:00am-3:30pm Monday-Friday KEITH Walking Floor Systems provide horizontal loading/unloading solutions for bulk materials, pallets, bales and rolls. The company's state of the art production facility i...

Fund Accounting Specialist

Koin

Sandy, OR

Manage the expense payment process for fund invoices . Directly support the preparation and review of fund financial statements . Participate in fund audits and help with periodic tax reviews . Monitor and report team metrics . W...

Fund Accounting Specialist

Koin

Canby, OR

Manage the expense payment process for fund invoices . Directly support the preparation and review of fund financial statements . Participate in fund audits and help with periodic tax reviews . Monitor and report team metrics . W...

Fund Accounting Specialist

Koin

Beaverton, OR

Manage the expense payment process for fund invoices . Directly support the preparation and review of fund financial statements . Participate in fund audits and help with periodic tax reviews . Monitor and report team metrics . W...

Fund Accounting Specialist

Koin

Oregon City, OR

Manage the expense payment process for fund invoices . Directly support the preparation and review of fund financial statements . Participate in fund audits and help with periodic tax reviews . Monitor and report team metrics . W...

Fund Accounting Specialist

Koin

Gresham, OR

Manage the expense payment process for fund invoices . Directly support the preparation and review of fund financial statements . Participate in fund audits and help with periodic tax reviews . Monitor and report team metrics . W...

Accounts Payable Specialist (Contractor)

Stride, Inc.

Salem, OR

Assumes ownership for both invoice and expense reports. Monitors NetSuite status to ensure workflow activity of expense reports; Enforces compliance with documented corporate policies for all practices. Works closely with team mem...

Patient Accounts Billing Specialist

Bay Area Hospital

Coos Bay, OR

Demonstrates working knowledge of American National Standards Institute (ANSI) edits, National Correct Coding Institute (CCI) edits, Medically Unlikely Edits (MUE) and other regulatory and/or payer specific billing requirements. D...

Accounts Payable Specialist

Emerald Staffing

Beaverton, OR

Support invoice processing activities. Reconcile General Ledger accounts. Resolve invoicing discrepancies. Provide customer service to time-sensitive tasks. Manage all vendor correspondences via phone and email. Assist with proces...

Accounts Payable Specialist

Advantage Service Group Llc

Redmond, OR

Data entry of high-volume AP invoices. Entry of credit card transactions. Organization/Filing of vendor invoices and supporting documentation. Assistance with reconciling vendor statements. Assistance with preparation of check run...