: $35,692.80 – $48,297.60/year Who We Are At TimberlineBank, our people are our most valuable asset. We seek qualified employees who enjoy... of exceeding customers' high expectations is what makes TimberlineBank a bank here for our community. Our commitment has been...
: $148,750 - $201,250 Status: Exempt Who We Are At TimberlineBank, our people are our most valuable asset. We seek qualified employees who... of exceeding customers' high expectations is what makes TimberlineBank a bank here for our community. Our commitment has been...
: $46,750 – $63,250 Who We Are At TimberlineBank, our people are our most valuable asset. We seek qualified employees who enjoy people... of exceeding customers' high expectations is what makes TimberlineBank a bank here for our community. Our commitment has been...
in a dedicated accounting environment. Knowledge of general ledger, bank and account reconciliations, trial balance and financial... statement preparation. Advanced Excel skills and knowledge of Timberline is a plus. Must be detail oriented, highly organized...
and Responsibilities: Preparation, posting and filing of journal entries to record accounting data including: bank activity-ACH and wire... of books maintained on ADP software. Performs bank reconciliations and assists in preparing month-end analysis schedules. Cross...
and Responsibilities: Preparation, posting and filing of journal entries to record accounting data including: bank activity-ACH and wire... of books maintained on ADP software. Performs bank reconciliations and assists in preparing month-end analysis schedules. Cross...
in a dedicated accounting environment. Knowledge of general ledger, bank and account reconciliations, trial balance and financial... statement preparation. Advanced Excel skills and knowledge of Timberline is a plus. Must be detail oriented, highly organized...
accounting system such as Yardi, Timberline, Oracle, RealPage, or a comparable ERP platform Desired Experience preparing... based financial tracking Experience managing cash across multiple bank accounts and entities, including intercompany...
and Responsibilities: Preparation, posting and filing of journal entries to record accounting data including: bank activity-ACH and wire... of books maintained on ADP software. Performs bank reconciliations and assists in preparing month-end analysis schedules. Cross...
and Responsibilities: Preparation, posting and filing of journal entries to record accounting data including: bank activity-ACH and wire... of books maintained on ADP software. Performs bank reconciliations and assists in preparing month-end analysis schedules. Cross...