Search Ex-MilitaryCareers.com

Banking, Reconciliations
Description Summary: The Accountant I is responsible for preparing general ledger month-end journal entries and balance sheet reconciliations relevant to their assigned functional accounting team in accordance with Generally Accepted Accou
Banking, Reconciliations
Description Summary: Provides oversight for financial reporting propriety for regional finance. Acts as liaison between regions and CHRISTUS corporate finance and accounting
Banking, Reconciliations
Description Summary: The Accountant II is responsible for preparing general ledger month-end journal entries relevant to their assigned functional accounting team in accordance with Generally Accepted Accounting Principles
Back To Top