Reconciliations Senior Specialist II

JPMorganChaseFort Worth, TX

About The Position

Join a team that safeguards the integrity of financial records through disciplined reconciliation practices and strong partner collaboration. In this role, you’ll help ensure timely, accurate account clearance while supporting a controlled, compliant environment. As a Reconciliation Services Operations Specialist II within Corporate Accounting , you perform moderately complex reconciliations on assigned accounts, requiring a basic understanding of accounting concepts and routine decision-making. You develop a comprehensive understanding of account activity and transaction flow, research and resolve outstanding items, and partner with management and clearing partners to address discrepancies. You prioritize workload in a fast-paced environment while maintaining accuracy and ensuring adherence to corporate policies and procedures.

Requirements

  • Basic understanding of accounting concepts and principles.
  • Experience in accounting, bookkeeping, reconciliation, or related operations.
  • Strong analytical skills to evaluate and interpret data from multiple sources.
  • Proficiency in Microsoft Excel (e.g., pivot tables, VLOOKUP, formulas).
  • Strong problem-solving skills with the ability to make routine decisions.
  • Proven ability to take initiative and work independently with appropriate oversight.
  • Excellent written and verbal communication skills, including with external parties.
  • Strong attention to detail and commitment to accuracy and quality.
  • Ability to prioritize multiple tasks and meet deadlines in a fast-paced environment.
  • Ability to adapt to changing needs and deadlines while remaining calm under pressure.
  • Collaborative mindset and ability to work effectively with partners and stakeholders.

Nice To Haves

  • Previous experience in reconciliation, accounting, or bank operations.
  • Working knowledge of reconciliation processes, aging, and break management practices.
  • Experience researching and resolving outstanding account items and exceptions.
  • Experience participating in projects and/or User Acceptance Testing (UAT).

Responsibilities

  • Perform moderately complex reconciliations on assigned accounts, applying basic accounting concepts to identify and resolve discrepancies.
  • Make routine decisions and determine appropriate courses of action to support timely account clearance and issue resolution.
  • Build and maintain working knowledge of assigned account operations, including processes impacting transaction flow and posting activity.
  • Research outstanding items, determine root cause, and process clearing entries or adjustments where appropriate.
  • Communicate with departmental management, business partners, and external vendors to resolve open items and reduce aged breaks.
  • Identify exceptions, trends, and recurring issues; escalate problem items and breaks that fall outside clearing standards in a timely manner.
  • Evaluate and analyze data from multiple sources to support reconciliation outcomes and ensure completeness and accuracy.
  • Participate in project activities and User Acceptance Testing (UAT) as assigned, providing feedback and supporting implementation readiness.
  • Ensure adherence to Corporate Accounting and departmental policies, procedures, and applicable controls.
  • Maintain strong attention to detail and a consistent focus on quality and accuracy in all deliverables.
  • Adapt to changing priorities, deadlines, and business needs while remaining calm under pressure and sustaining service quality.

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What This Job Offers

Job Type

Full-time

Career Level

Mid Level

Education Level

No Education Listed

Number of Employees

5,001-10,000 employees

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