Responsible for ensuring timely and accurate completion of assigned daily and monthly account reconciliations, including the Federal Reserve Bank account. Prepare and process daily, weekly and monthly journal entries to support the month-end and quarter-end financial close process and provide support for Accounting Operations functions, including fixed asset and investment securities accounting. Maintain documentation on the proper reconciliation process and workflow for each assigned account, journal entry and Accounting Operations support functions. Work with subject matter experts to clear outstanding reconciling items and gather required information and supporting documentation for all journal entries.
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Job Type
Full-time
Career Level
Entry Level