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accounts receivable in Knoxville

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    1. Accounts Receivable Representative

      Accounts Receivable Representative: Responsible for the daily application and reconciliation of deposits to ensure integrity in customer account balances. Provides support to Sales and Brokers regarding deductions from payments for expedient resolution. Review and process ...

    2. Payroll Specialist

       Our West Knoxville client is looking to add a payroll specialist on to their team.  Pay is $16-$18/hr depending on experience. Essential Functions Maintain rates and fees by interpreting contracts and preparing pay rate sheets for appropriate approval and data entry ...

    3. Mortgage Lender Branch Manager Loan Officer Originator Banker

      Merry Christmas Mortgage Originator's, Its Time You Joined the Sagamore Home Mortgage family! What a great year 2014 was for Sagamore! Our message to you for 2015? STOP giving your hard earned money to your manager or owner and keep it for yourself and your family. If you ...

    4. Customer Billing Specialist

      Looking for a great opportunity with a top notch company, please apply!  The Customer Billing Specialist owns assigned customer billing accounts so that all aspects of outstanding balances and future credit worthiness are proactively managed; expedites account adjustments ...

    5. Full- Charge Bookkeeper

      Our client is seeking a Full-Charge Bookkeeper to do Accounts Payable and Accounts Receivable. Some of the job duties that this position entails are performing sales tax weekly and monthly, ACH payments, weekly payroll, occasional adjustments, reconciling credit cards to ...

    6. Project Accounting Assistant

      A Fortune 500 scientific, engineering and technical services and solutions company seeks a Project Accountant Assistant. This group is responsible for tasks such as providing minor maintenance for established direct and indirect projects in the Costpoint system: Key ...

    7. Senior Accountant

      Verifies, allocates, and posts details of business transactions to subsidiary accounts in journals or computer files from documents such as sales slips, invoices, receipts, and computer reports. Summarizes details in separate ledgers or computer files. Bank statement ...