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    4 Temporary Accounting & Auditing found

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      • New Bedford, Massachusetts
      • Temporary
      • $20.00 per hour
      • 8:00 AM - 5:00 PM
      In this role you'll be interacting with our customers daily by phone and email providing superior service related to current status of accounts, payments and other concerns.Responsibilities:Contacting clients each day and providing updates on collection activitiesWorking hours: 8:00 AM - 5:00 PMSkills:Capability of gaining customer loyalty through listening, relationship building and professional and persuasive communication skillsExcellent written and ver
      In this role you'll be interacting with our customers daily by phone and email providing superior service related to current status of accounts, payments and other concerns.Responsibilities:Contacting clients each day and providing updates on collection activitiesWorking hours: 8:00 AM - 5:00 PMSkills:Capability of gaining customer loyalty through listening, relationship building and professional and persuasive communication skillsExcellent written and ver
      • Fort Pierce, Florida
      • Temporary
      • $45.00 - $50.00 per hour
      • 8:00 AM - 5:00 PM
      Three to Six month temporary assignment to prepare, review and analyze financial reports for the company. In depth knowledge of bookkeeping, auditing and budgeting procedures. Monitor daily transactions and recommend ways to improve financial health of the company.Responsibilities:Organize and update financial records as needed, digital and physicalAnalyze transactions and prepare reportsPerform regular, detailed audits and ensure accuracy in financial do
      Three to Six month temporary assignment to prepare, review and analyze financial reports for the company. In depth knowledge of bookkeeping, auditing and budgeting procedures. Monitor daily transactions and recommend ways to improve financial health of the company.Responsibilities:Organize and update financial records as needed, digital and physicalAnalyze transactions and prepare reportsPerform regular, detailed audits and ensure accuracy in financial do
      • Denver, Colorado
      • Temporary
      • $50,000 - $60,000 per year
      • 8:00 AM - 5:00 PM
      This position processes payroll and maintains accurate records in Kronos. You will ensure all payroll, 401(k), ACA, and tax reporting and submissions are compliant with all local, state, and federal laws. you will manage employee health and wellness insurance vendor payment reconciliation and processingResponsibilities:When this job is performed well, the following results will be created:???Payroll is processed timely and accurately???Payroll tax payments
      This position processes payroll and maintains accurate records in Kronos. You will ensure all payroll, 401(k), ACA, and tax reporting and submissions are compliant with all local, state, and federal laws. you will manage employee health and wellness insurance vendor payment reconciliation and processingResponsibilities:When this job is performed well, the following results will be created:???Payroll is processed timely and accurately???Payroll tax payments
      • Fall River, Massachusetts
      • Temporary
      • $19.00 - $24.00 per hour
      • 8:30 AM - 4:30 PM
      Spherion staffing is currently looking for a Bookkeeper for a client in Fall River, MA!Under the general supervision of the Vice President of Finance, assists in the administration of the Credit Union's accounting and record-keeping functions.Responsibilities:Reconcile teller and vault cash daily for all Credit Union locations / Post and reconcile daily general ledger transactions, verifying ending general ledger account balances to reports provided by cor
      Spherion staffing is currently looking for a Bookkeeper for a client in Fall River, MA!Under the general supervision of the Vice President of Finance, assists in the administration of the Credit Union's accounting and record-keeping functions.Responsibilities:Reconcile teller and vault cash daily for all Credit Union locations / Post and reconcile daily general ledger transactions, verifying ending general ledger account balances to reports provided by cor

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