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As a team lead, you'll focus on building entirely new backend systems to power new Bank Accounts offerings at a significant scale. Square Bank Accounts save and store money into our popular Checking and Savings products, used by hundreds of thousands of merchants every month.
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The Business Development Manager is responsible for growing Pearson VUE's business in both the Professional and Federal markets, both with existing accounts and with new accounts through effective client relationship management and successful sales and implementations of new clients and programs.
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Working closely with Pearson VUE's existing and potential accounts as well as the functional personnel of other departments, the Business Development Manager performs a key role in maintaining and growing Pearson VUE's business in test development and test delivery.
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Proven success selling into new Federal accounts. Negotiate contracts with both existing and new accounts. The Business Development Manager is accountable for tracking the renewal of contracts in a timely manner to ensure high quality service and the satisfaction of clients and will also collaborate with Pearson VUE's operational and technology teams to develop successful business development solutions.
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Navigate complex Federal agency procurement requirements to match Pearson VUE solutions to key business opportunities. Knowledge of high-stakes standardized assessment and Pearson VUE technology and systems.
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Performs other duties as assigned by the Financial Grants Management/Accounts Payable Manager. Two (2) years of Accounts Payable (AP), PCard, or Accounting experience OR Two (2) years of college education, vocational school, or Associates Degree in the area of Accounting or Business Administration.
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OCYP staff: Victim Assistance Coordinators, Safe Environment Facilitator, Safe Environment Coordinator, Compliance Auditors, Office Manager, Accounts Payable/Receivable Clerk, Receptionist and Interns.
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The Senior National Accounts Manager maintains and develops new business across all lines of the Simpson Strong-Tie products and services, establishing and facilitating a close working relationship with all branches and business segments in order to meet the Companys business objectives.
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Support departments including Financial Aid, Student Services, and/or Accounts Receivable. Financial Aid, Student Services, or Accounts Receivable module experience. 5+ Years of Programmer Analyst experience with Ellucian Banner SIS.
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In your role as a Retail Territory Manager, you will manage a territory of Home Depot, Lowes, ACE, True Value, or Tractor Supply accounts or a combination of these accounts. You will be responsible for managing your retail accounts and managing your daily activities including retail account visits.
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Coordinate, prepare, and analyze vendor statement reconciliations and resolve any outstanding invoices and discrepancies with efficient delivery of reconciliation to Accounts Payable (AP) staff and Accounts Payable Manager.
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Lead, review and certify the accuracy of the monthly reporting in the DMA monthly report to the Executive Director from the Financial Management Section, including revenue, management accounts, accounts receivable, outstanding partner advances and any non-compliance with financial project closure and/ or new financial management initiatives.
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This role will oversee the organization's treasury operations activities (credit collections, cash management, accounts payable), manage liquidity, risk management, and ensure the optimal long-term capital structure of the company.
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Take ownership accounts in post sale to help drive consistent upsales and repeat business for the sales team. Today, Influencer has a team of 120+ of the best talent in the industry, working across Europe, North America, and the Middle East. From Google to Coca-Cola, from Amazon to Microsoft, and from TikTok to Meta - they work with companies, brands, and agencies across every vertical, building meaningful relationships between brands, creators, and their audiences.
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FINRA employees are required to disclose to FINRA all brokerage accounts that they maintain, and those in which they control trading or have a financial interest (including any trust account of which they are a trustee or beneficiary and all accounts of a spouse, domestic partner or minor child who lives with the employee) and to authorize their broker-dealers to provide FINRA with duplicate statements for all of those accounts.
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accounts job Title: specialist Company: Beacon Hill Staffing Group Llc
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