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ABOUT HERSCHEL SUPPLY Welcome to Herschel Supply, where we make quality products for a lifetime of better journeys. Designed with timeless form and intuitive function in Vancouver, Canada, every piece is backed by our…
About the Role We are seeking an experienced and detail-oriented Accounting Manager to lead the day-to-day operations of our Accounting team. This role is responsible for ensuring accurate financial reporting,…
About Faropoint Meaningful Relationships. Ownership. Curiosity. Tenacity. Established in 2012, Faropoint is a pure play RE fund manager focusing on the last mile industrial sector. Having acquired more than 500…
Performance Home Medical has been a leader in providing quality products and services since 1995. At Performance Home Medical (PHM ), our patients come first. Using the latest technology and best clinical support, we…
POSITION VISION The Revenue and Finance Analyst is responsible for maintaining and analyzing the organization’s pricing structures, supplier rebate systems, and general ledger activities. This role provides critical…
Overview Are you up to the challenge? At ePlus, we engineer transformative technology solutions for the most visionary companies in the world. This takes imagination, relentless client service, and the tenacity to…
Our Blueprint (Company Overview) At Madison Logic, we turn buyer uncertainty into confident action. Using data-driven insights and strategic expertise, we help marketers align every decision-maker, in every buying…
We are seeking an experienced FICO Consultant to join our dynamic team. The ideal candidate will be responsible for designing, implementing, and maintaining FICO solutions that meet our organizational needs. You will…
COMPANY INFORMATION JDRF Electromag Engineering Inc. is a research-intensive product development company located in Port Credit, Mississauga, Ontario. Our mission is to reduce global GHG emissions by creating…
Processes financial transactions including vendor payments and travel reimbursements, performs general ledger reconciliations, and ensures compliance with GAAP and state regulations using systems like AFRS.
Senior QA automation engineer builds and runs automated tests for Calypso’s collateral module, validating cash and security settlement, workflows, and static data for global investment banks.
Designs Snowflake-based data pipelines and models for banking/financial analytics, specializing in Jack Henry core banking data, dbt pipelines, and performance optimization.
Company Overview Authenticx is a fast-growing, venture-backed, enterprise AI company transforming healthcare through conversation intelligence. We help healthcare organizations uncover insights hidden in millions of…
Description Company Overview: The Electronic Component Segment of ARXIS brings together the industry’s most distinguished electronics and manufacturing experts, in an elite portfolio of complementary design,…
Summary Description Performs a variety of routine accounting functions following standard accounting procedures. Keeps financial records updated, prepares reports, and reconciles general ledger and bank statements.…
General Ledger (GL) & Commissions Analyst Job Summary The General Ledger (GL) & Commissions Analyst is responsible for maintaining accurate financial records, managing general ledger activities, calculating and…
Key Responsibilities The Deposit Operations Specialist II is responsible for a wide range of tasks, including: Core Operations & Balancing Perform daily balancing and reconciliation of various deposit-related…
JOB SUMMARY (Two/Three Lines): · This paid internship offers an excellent opportunity to gain hands-on experience in various accounting functions, including financial reporting, compliance, and analysis. · The ideal…
Lead reconciliation and balancing analysis for pool accounts and customer transactions, ensuring accurate reports, resolving claims, and utilizing ledger systems at a fintech company.
Processes data and performs in-depth financial analysis of accounting, pay, and travel entitlements within Financial Management systems to resolve out-of-balance conditions, reconciles RCM accounts, and coordinates with DFAS to post to the General Ledger.
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