Handle payroll accounting, accruals, balance sheet reconciliations, and GL entries. * Manage PTO/vacation reserve tracking and year-end vacation payouts. * Process cash clearing transactions and ...
New
Handle payroll accounting, accruals, balance sheet reconciliations, and GL entries. * Manage PTO/vacation reserve tracking and year-end vacation payouts. * Process cash clearing transactions and ...
New
Handle payroll accounting, accruals, balance sheet reconciliations, and GL entries. * Manage PTO/vacation reserve tracking and year-end vacation payouts. * Process cash clearing transactions and ...
New
Balance Sheet reconciliation and responses to analytical queries Corporate reporting: Support/supervise completion of monthly direct margin report for monthly management information pack including ...
Balance Sheet reconciliation and responses to analytical queries Corporate reporting: Support/supervise completion of monthly direct margin report for monthly management information pack including ...
Balance Sheet reconciliation and responses to analytical queries Corporate reporting: Support/supervise completion of monthly direct margin report for monthly management information pack including ...
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Balance Sheet reconciliation and responses to analytical queries Corporate reporting: Support/supervise completion of monthly direct margin report for monthly management information pack including ...
Balance Sheet reconciliation and responses to analytical queries Corporate reporting: Support/supervise completion of monthly direct margin report for monthly management information pack including ...
Balance Sheet reconciliation and responses to analytical queries Corporate reporting: Support/supervise completion of monthly direct margin report for monthly management information pack including ...
Be Seen First
North Little Rock, AR · On-site
$20 - $23/hr
Ability to perform detailed balance sheet reconciliation and journal entry preparation accurately. * Excellent organizational skills with attention to detail; capable of managing multiple tasks ...
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Be Seen First
North Little Rock, AR · On-site
$20 - $23/hr
Ability to perform detailed balance sheet reconciliation and journal entry preparation accurately. * Excellent organizational skills with attention to detail; capable of managing multiple tasks ...
Alpharetta, GA · On-site
$108K - $142K/yr
Oversee general ledger accounting activities, including balance sheet reconciliation and accounts payable processes. * Utilize accounting software, including QuickBooks, for accurate record-keeping ...
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Alpharetta, GA · On-site
$108K - $142K/yr
Oversee general ledger accounting activities, including balance sheet reconciliation and accounts payable processes. * Utilize accounting software, including QuickBooks, for accurate record-keeping ...
Complete monthly balance sheet reconciliations for assigned accounts. * Prepare transaction entries for posting to the general ledger. * Assist with monthly and annual financial close processes ...
Complete monthly balance sheet reconciliations for assigned accounts. * Prepare transaction entries for posting to the general ledger. * Assist with monthly and annual financial close processes ...
Cumming, GA · Hybrid
$49K - $64K/yr
Conduct balance sheet reconciliation to ensure accuracy of accounts. * Analyze accounts and prepare account analysis reports for management review. * Assist in regulatory reporting to comply with ...
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Cumming, GA · Hybrid
$49K - $64K/yr
Conduct balance sheet reconciliation to ensure accuracy of accounts. * Analyze accounts and prepare account analysis reports for management review. * Assist in regulatory reporting to comply with ...
Moon Township, PA · On-site +1
$50K - $60K/yr
Complete monthly balance sheet reconciliations for assigned accounts. * Prepare transaction entries for posting to the general ledger. * Assist with monthly and annual financial close processes ...
Moon Township, PA · On-site +1
$50K - $60K/yr
Complete monthly balance sheet reconciliations for assigned accounts. * Prepare transaction entries for posting to the general ledger. * Assist with monthly and annual financial close processes ...
New York, NY · Remote
$62.25 - $76.75/hr
EPM Automate and scripting for Automation tasks, Strong understanding of the financial close process and balance sheet reconciliation. * Ability to translate business/Finance requirements into ARCS ...
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New York, NY · Remote
$62.25 - $76.75/hr
EPM Automate and scripting for Automation tasks, Strong understanding of the financial close process and balance sheet reconciliation. * Ability to translate business/Finance requirements into ARCS ...
Noblesville, IN · Hybrid
$51K - $68K/yr
Conduct balance sheet reconciliation to ensure accuracy of accounts. * Analyze accounts and prepare account analysis reports for management review. * Assist in regulatory reporting to comply with ...
Quick apply
Noblesville, IN · Hybrid
$51K - $68K/yr
Conduct balance sheet reconciliation to ensure accuracy of accounts. * Analyze accounts and prepare account analysis reports for management review. * Assist in regulatory reporting to comply with ...
Moon Township, PA · On-site
$52K - $69K/yr
Complete monthly balance sheet reconciliations for assigned accounts. * Prepare transaction entries for posting to the general ledger. * Assist with monthly and annual financial close processes ...
Moon Township, PA · On-site
$52K - $69K/yr
Complete monthly balance sheet reconciliations for assigned accounts. * Prepare transaction entries for posting to the general ledger. * Assist with monthly and annual financial close processes ...
$70K - $80K/yr
The ideal candidate has general ledger and reconciliation experience, a thorough understanding of financial reports, balance sheets, and income statements, with exceptional time management skills ...
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$70K - $80K/yr
The ideal candidate has general ledger and reconciliation experience, a thorough understanding of financial reports, balance sheets, and income statements, with exceptional time management skills ...
$70K - $80K/yr
The ideal candidate has general ledger and reconciliation experience, a thorough understanding of financial reports, balance sheets, and income statements, with exceptional time management skills ...
Quick apply
$70K - $80K/yr
The ideal candidate has general ledger and reconciliation experience, a thorough understanding of financial reports, balance sheets, and income statements, with exceptional time management skills ...
Perform balance sheet reconciliation and substantiation for derivatives, netting-related balances ... Up to 2 years of relevant experience (internships or entry-level roles in finance, accounting, or ...
Perform balance sheet reconciliation and substantiation for derivatives, netting-related balances ... Up to 2 years of relevant experience (internships or entry-level roles in finance, accounting, or ...
Perform balance sheet reconciliation and substantiation for derivatives, netting-related balances ... Up to 2 years of relevant experience (internships or entry-level roles in finance, accounting, or ...
Perform balance sheet reconciliation and substantiation for derivatives, netting-related balances ... Up to 2 years of relevant experience (internships or entry-level roles in finance, accounting, or ...
Gilbert, AZ · On-site +1
$65K - $75K/hr
Perform balance sheet reconciliations and ensure accuracy of financial data. * Prepare and post journal entries, maintain the general ledger, and support monthly/quarterly close. * Assist with ...
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Gilbert, AZ · On-site +1
$65K - $75K/hr
Perform balance sheet reconciliations and ensure accuracy of financial data. * Prepare and post journal entries, maintain the general ledger, and support monthly/quarterly close. * Assist with ...
Perform balance sheet reconciliation and substantiation for derivatives, netting-related balances ... Up to 2 years of relevant experience (internships or entry-level roles in finance, accounting, or ...
Perform balance sheet reconciliation and substantiation for derivatives, netting-related balances ... Up to 2 years of relevant experience (internships or entry-level roles in finance, accounting, or ...
$65K - $85K/yr
This role focuses on ensuring the accuracy and integrity of balance sheet accounts through timely reconciliations, investigation of reconciling items, and coordination with accounting team members to ...
$65K - $85K/yr
This role focuses on ensuring the accuracy and integrity of balance sheet accounts through timely reconciliations, investigation of reconciling items, and coordination with accounting team members to ...
Cumming, GA · On-site
$49K - $64K/yr
Conduct balance sheet reconciliation to ensure accuracy of accounts. * Analyze accounts and prepare account analysis reports for management review. * Assist in regulatory reporting to comply with ...
Cumming, GA · On-site
$49K - $64K/yr
Conduct balance sheet reconciliation to ensure accuracy of accounts. * Analyze accounts and prepare account analysis reports for management review. * Assist in regulatory reporting to comply with ...
$14.90 - $16.63
9% of jobs
$16.63 - $18.36
8% of jobs
$19.25 is the 25th percentile. Wages below this are outliers.
$18.36 - $20.08
17% of jobs
The median wage is $21.76 / hr.
$20.08 - $21.81
17% of jobs
$21.81 - $23.54
12% of jobs
$23.54 - $25.26
9% of jobs
$26.34 is the 75th percentile. Wages above this are outliers.
$25.26 - $26.99
6% of jobs
$26.99 - $28.72
6% of jobs
$28.72 - $30.44
5% of jobs
$30.44 - $32.17
4% of jobs
$32.17 - $33.89
6% of jobs
$14
$23
$33
| Aspect | Entry Level Balance Sheet Reconciliation | Accounts Payable Clerk |
|---|---|---|
| Primary Responsibilities | Reconciling balance sheet accounts, ensuring accuracy of financial data | Processing vendor invoices, managing payments |
| Required Skills | Basic accounting knowledge, attention to detail, Excel proficiency | Data entry, organization, communication skills |
| Certifications | High school diploma; some roles prefer accounting courses | High school diploma; familiarity with accounting software |
| Work Environment | Finance or accounting department, office setting | Finance or accounting department, office setting |
While both roles are entry-level and involve finance tasks, Entry Level Balance Sheet Reconciliation focuses on verifying account accuracy, whereas Accounts Payable Clerk handles invoice processing and payments. Both positions require attention to detail and basic accounting skills, but they serve different functions within the finance department.
7.2
Based on 122 frontline employees who took The Breakroom Quiz
261st of 352 rated engineering
We are looking for the right people — people who want to innovate, achieve, grow and lead. We attract and retain the best talent by investing in our employees and empowering them to develop themselves and their careers. Experience the challenges, rewards and opportunity of working for one of the world’s largest providers of products and services to the global energy industry.
Halliburton is seeking a Payroll Accountant to support its payroll accounting operations within a large enterprise environment. This role is responsible for maintaining accurate general ledger entries related to payroll, performing balance sheet reconciliations, and ensuring proper accrual accounting for employee compensation, benefits, and stock activity.
Candidates having qualifications that exceed the minimum job requirements will receive consideration for higher level roles given (1) their experience, (2) additional job requirements, and/or (3) business needs. Depending on education, experience, and skill level, a variety of job opportunities might be available, including Accountant, Senior Accountant, or Principal Accountant.
At Halliburton, we're committed to providing you and your family with a comprehensive and affordable benefits package - which means we offer support for your physical, emotional, financial and parental needs, both now and in the future. When you join our team, you'll have access to a wide range of resources designed to help you thrive at work and at home. By clicking here, you can review a summary of the benefits available once you join.
Halliburton is an Equal Opportunity Employer. Employment decisions are made without regard to race, color, religion, disability, genetic information, pregnancy, citizenship, marital status, sex/gender, sexual preference/ orientation, gender identity, age, veteran status, national origin, or any other status protected by law or regulation.
Location
3000 N. Sam Houston Parkway E., Houston, Texas, 77032, United States
Job Details
Requisition Number: 209511
Experience Level: Experienced Hire
Job Family: Support Services
Product Service Line: Finance
Full Time / Part Time: Full Time
Additional Locations for this position:
Compensation Information
Compensation is competitive and commensurate with experience.
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Halliburton, headquartered in Houston, TX, US, is a world-renowned corporation in the oilfield services industry. Established in 1919, the company has made significant inroads in the energy sector, playing a pivotal role in oil and gas explorations across the globe. One can visit their official website, halliburton.com, to learn more about their business operations, products, and services. Halliburton specializes in a broad spectrum of services including locating hydrocarbons, managing geological data, drilling and formation evaluation, well construction and completion, and optimizing production throughout the life of the field. Halliburton’s mission is to maximize the value of oil and gas assets.
Health care and social assistance
10,000+ Employees
Houston, TX, US