Reconciliation jobs in lenexa USA
8 reconciliation jobs found in lenexa: showing 1 - 8
Account Servicing Specialist
Company: TrueAccord |
environment. Background in back-office operations, accounts receivable, or the reconciliation processes (in banking, accountingLocation: Lenexa, KS, USA
| Salary: US$20 per hour | Date posted: 02 Jun 2026
Manager – Cash & Wire Operations
Company: CommunityAmerica Credit Union |
ATM/ITM cash reconciliation, balancing, settlement, and cash inventory monitoring. Manage currency and coin logisticsLocation: Lenexa, KS, USA
| Salary: unspecified | Date posted: 31 May 2026
Customer Experience Manager
Company: Michaels Stores |
reconciliation and bank deposits Assist with inventory processes to include Return to Vendor (RTV) and Advance Shipping Notice (ASNLocation: Lenexa, KS, USA
| Salary: unspecified | Date posted: 04 May 2026
Patient Accounting Rep I
Company: University of Kansas Health System |
as needed. Review daily Epic charge router reconciliation report make sure all charges are filed and interfaced. Assist departmentsLocation: Lenexa, KS, USA
| Salary: unspecified | Date posted: 01 May 2026
Lead Netsuite Administrator
Company: Wachter |
. Data Integrity: Maintain high standards for data migration, reconciliation, and system documentationLocation: Lenexa, KS, USA
| Salary: US$90000 - 105000 per year | Date posted: 28 Apr 2026
Inventory Control Coordinator
Company: CVS Health |
, and professional manner. Duties & Responsibilities: Purchasing and receiving of inventory, tracking and reconciliation of inventoryLocation: Lenexa, KS, USA
| Salary: US$18.5 - 20.02 per hour | Date posted: 09 Apr 2026
Lis Analyst
Company: University of Kansas Health System |
of billing, the reconciliation of billing issues, report generation, and billing interface viability. Utilizes SQL toolsLocation: Lenexa, KS, USA
| Salary: unspecified | Date posted: 04 Apr 2026
Pharmacy Technician Ii - Home Infusion Call Center
Company: University of Kansas Health System |
by calling patients to confirm refill schedules, supply checks, perform medication reconciliation, reschedule IV pump returns