The main purpose of this job is to execute the reconciliation of general to medium range accounting activities. This role involves performing daily, weekly, and monthly reconciliation responsibilities accurately and in a timely manner. It includes executing reconciliations for multiple business line product offerings, General Ledger Accounts, house accounts, shadow accounts, position reconciliations, and other various banking activities. The specialist will ensure all aged items are researched and resolved effectively and efficiently according to defined parameters, and resolve general reconciliation issues to limit financial liability and exposure to the organization. The role also requires ensuring all reconciliation processes meet procedural requirements and participating in process reviews to identify opportunities for enhancement.
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Job Type
Full-time
Career Level
Mid Level
Education Level
Associate degree