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18 occupations have tasks related to the 1 task from your current occupation, Billing, Cost, and Rate Clerks.

  • Verify accuracy of billing data and revise any errors.
43-3071.00 Tellers
  • Receive checks and cash for deposit, verify amounts, and check accuracy of deposit slips.
  • Monitor bank vaults to ensure cash balances are correct.
  • Cash checks and pay out money after verifying that signatures are correct, that written and numerical amounts agree, and that accounts have sufficient funds.
  • Examine checks for endorsements and to verify other information, such as dates, bank names, identification of the persons receiving payments, and the legality of the documents.
  • Prepare and verify cashier's checks.
  • Identify transaction mistakes when debits and credits do not balance.
  • Receive mortgage, loan, or public utility bill payments, verifying payment dates and amounts due.
  • Count, verify, and post armored car deposits.
43-3031.00 Bookkeeping, Accounting, and Auditing Clerks   Bright Outlook Bright Outlook  
  • Check figures, postings, and documents for correct entry, mathematical accuracy, and proper codes.
  • Match order forms with invoices, and record the necessary information.
  • Prepare bank deposits by compiling data from cashiers, verifying and balancing receipts, and sending cash, checks, or other forms of payment to banks.
  • Compare computer printouts to manually maintained journals to determine if they match.
43-3061.00 Procurement Clerks
  • Compare suppliers' bills with bids and purchase orders to verify accuracy.
  • Review requisition orders to verify accuracy, terminology, and specifications.
43-3021.01 Statement Clerks Bright Outlook
  • Verify signatures and required information on checks.
  • Match statements with batches of canceled checks by account numbers.
43-9041.02 Insurance Policy Processing Clerks Bright Outlook
  • Review and verify data, such as age, name, address, and principal sum and value of property on insurance applications and policies.
  • Check computations of interest accrued, premiums due, and settlement surrender on loan values.
43-4131.00 Loan Interviewers and Clerks Bright Outlook
  • Verify and examine information and accuracy of loan application and closing documents.
  • Calculate, review, and correct errors on interest, principal, payment, and closing costs, using computers or calculators.
43-9021.00 Data Entry Keyers
  • Compare data with source documents, or re-enter data in verification format to detect errors.
43-4111.00 Interviewers, Except Eligibility and Loan
  • Ensure payment for services by verifying benefits with the person's insurance provider or working out financing options.
43-5081.02 Marking Clerks Bright Outlook
  • Compare printed price tickets with entries on purchase orders to verify accuracy and notify supervisor of discrepancies.
43-4011.00 Brokerage Clerks
  • Verify ownership and transaction information and dividend distribution instructions to ensure conformance with governmental regulations, using stock records and reports.
43-9081.00 Proofreaders and Copy Markers
  • Compare information or figures on one record against same data on other records, or with original copy, to detect errors.
43-3041.00 Gaming Cage Workers
  • Verify accuracy of reports, such as authorization forms, transaction reconciliations, or exchange summary reports.
43-4071.00 File Clerks
  • Complete general financial activities, such as processing accounts payable, reviewing invoices, collecting cash payments, or issuing receipts.
43-4081.00 Hotel, Motel, and Resort Desk Clerks
  • Verify customers' credit, and establish how the customer will pay for the accommodation.
43-4031.03 License Clerks
  • Evaluate information on applications to verify completeness and accuracy and to determine whether applicants are qualified to obtain desired licenses.
43-4151.00 Order Clerks
  • Review orders for completeness according to reporting procedures and forward incomplete orders for further processing.
43-5081.03 Stock Clerks- Stockroom, Warehouse, or Storage Yard Bright Outlook
  • Verify inventory computations by comparing them to physical counts of stock, and investigate discrepancies or adjust errors.
43-9022.00 Word Processors and Typists
  • Compute and verify totals on report forms, requisitions, or bills, using adding machine or calculator.