Accounting Assistant
Seattle, WA · On-site
$22.25 - $29/hr
... bank account (daily). o Use a program in Eclipse IDE to condense WA State Dept. of Labor ... Reconcile and enter payment date for multiple vendors o Research vendor payment history • ...
Seattle, WA · On-site
$22.25 - $29/hr
... bank account (daily). o Use a program in Eclipse IDE to condense WA State Dept. of Labor ... Reconcile and enter payment date for multiple vendors o Research vendor payment history • ...
Seattle, WA · On-site
$22.25 - $29/hr
... bank account (daily). o Use a program in Eclipse IDE to condense WA State Dept. of Labor ... Reconcile and enter payment date for multiple vendors o Research vendor payment history • ...
Bellevue, WA · On-site
$70/hr
Perform daily data entry into the accounting system, assist with bank reconciliations, and support month-end closing tasks. * Communication: Answer multi-line phone systems, direct inquiries to the ...
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Bellevue, WA · On-site
$70/hr
Perform daily data entry into the accounting system, assist with bank reconciliations, and support month-end closing tasks. * Communication: Answer multi-line phone systems, direct inquiries to the ...
Seattle, WA · On-site
$90K - $125K/yr
Review journal entries, bank reconciliations and supporting work papers * Process and record payroll * Provide monthly or quarterly reporting to Management * Process 1099s and assist with federal ...
Seattle, WA · On-site
$90K - $125K/yr
Review journal entries, bank reconciliations and supporting work papers * Process and record payroll * Provide monthly or quarterly reporting to Management * Process 1099s and assist with federal ...
Seattle, WA · On-site
$70K - $80K/yr
Book journal entries, bank reconciliations and maintain general ledger * Reconcile credit cards and expense reports * Assist with monthly or quarterly reporting requirements * Prepare 1099s and ...
Seattle, WA · On-site
$70K - $80K/yr
Book journal entries, bank reconciliations and maintain general ledger * Reconcile credit cards and expense reports * Assist with monthly or quarterly reporting requirements * Prepare 1099s and ...
Seattle, WA · On-site
$24.50 - $34.88/hr
... and reconciliation functions relating to all aspects of Fred Hutch finances. While the role ... Review and prepare bank deposits in the banking portal. * Process cash receipts in the financial ...
Seattle, WA · On-site
$24.50 - $34.88/hr
... and reconciliation functions relating to all aspects of Fred Hutch finances. While the role ... Review and prepare bank deposits in the banking portal. * Process cash receipts in the financial ...
$24.50 - $34.88/hr
... and reconciliation functions relating to all aspects of Fred Hutch finances. While the role ... Review and prepare bank deposits in the banking portal. * Process cash receipts in the financial ...
$24.50 - $34.88/hr
... and reconciliation functions relating to all aspects of Fred Hutch finances. While the role ... Review and prepare bank deposits in the banking portal. * Process cash receipts in the financial ...
$24.50 - $34.88/hr
... and reconciliation functions relating to all aspects of Fred Hutch finances. While the role ... Review and prepare bank deposits in the banking portal. * Process cash receipts in the financial ...
$24.50 - $34.88/hr
... and reconciliation functions relating to all aspects of Fred Hutch finances. While the role ... Review and prepare bank deposits in the banking portal. * Process cash receipts in the financial ...
Seattle, WA · On-site
$27.39 - $39.90/hr
... and assist with any vendor inquiries * Perform cash management functions including but not limited to: monitor and record cash transactions and bank reconciliations * Manage accounts receivable ...
Seattle, WA · On-site
$27.39 - $39.90/hr
... and assist with any vendor inquiries * Perform cash management functions including but not limited to: monitor and record cash transactions and bank reconciliations * Manage accounts receivable ...
Seattle, WA · On-site
$31/hr
Perform daily bank deposit reconciliation. * Process vendor invoices for payment - using computer ... Prepare monthly state claim form for reimbursement. * Assist in preparation of end of month ...
Seattle, WA · On-site
$31/hr
Perform daily bank deposit reconciliation. * Process vendor invoices for payment - using computer ... Prepare monthly state claim form for reimbursement. * Assist in preparation of end of month ...
Be Seen First
Seattle, WA · On-site
$31 - $36/hr
Coordinate accounts payable processing and periodic check runs * Assist with communication and reporting related to case cost funding and banking relationships * Reconcile trust accounts, lines of ...
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Be Seen First
Seattle, WA · On-site
$31 - $36/hr
Coordinate accounts payable processing and periodic check runs * Assist with communication and reporting related to case cost funding and banking relationships * Reconcile trust accounts, lines of ...
Kirkland, WA · On-site
$24.91 - $39.85/hr
Responsible for using and/or creating reports to identify and abstract clinical data and reconcile ... Extended Illness Bank/Sick Leave * Paid holidays * Voluntary hospital indemnity insurance
Kirkland, WA · On-site
$24.91 - $39.85/hr
Responsible for using and/or creating reports to identify and abstract clinical data and reconcile ... Extended Illness Bank/Sick Leave * Paid holidays * Voluntary hospital indemnity insurance
Everett, WA · On-site
$70K/yr
Monthly bank statement reconciliation * Review and post standard accruals * Reconcile ... Electronic Filing * Assist with special projects as needed. (Audits, owner requests, etc ...
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Everett, WA · On-site
$70K/yr
Monthly bank statement reconciliation * Review and post standard accruals * Reconcile ... Electronic Filing * Assist with special projects as needed. (Audits, owner requests, etc ...
Seattle, WA · On-site
$31/hr
Perform daily bank deposit reconciliation. * Process vendor invoices for payment - using computer ... Prepare monthly state claim form for reimbursement. * Assist in preparation of end of month ...
Seattle, WA · On-site
$31/hr
Perform daily bank deposit reconciliation. * Process vendor invoices for payment - using computer ... Prepare monthly state claim form for reimbursement. * Assist in preparation of end of month ...
$24.91 - $39.85/hr
Responsible for using and/or creating reports to identify and abstract clinical data and reconcile ... Extended Illness Bank/Sick Leave * Paid holidays * Voluntary hospital indemnity insurance
$24.91 - $39.85/hr
Responsible for using and/or creating reports to identify and abstract clinical data and reconcile ... Extended Illness Bank/Sick Leave * Paid holidays * Voluntary hospital indemnity insurance
Seattle, WA · On-site
$31/hr
Administrative Assistant Location: Seattle University We are hiring immediately for a full time ... Perform daily bank deposit reconciliation. * Process vendor invoices for payment - using computer ...
Seattle, WA · On-site
$31/hr
Administrative Assistant Location: Seattle University We are hiring immediately for a full time ... Perform daily bank deposit reconciliation. * Process vendor invoices for payment - using computer ...
Seattle, WA · On-site
$31/hr
Perform daily bank deposit reconciliation. * Process vendor invoices for payment - using computer ... Prepare monthly state claim form for reimbursement. * Assist in preparation of end of month ...
Seattle, WA · On-site
$31/hr
Perform daily bank deposit reconciliation. * Process vendor invoices for payment - using computer ... Prepare monthly state claim form for reimbursement. * Assist in preparation of end of month ...
Seattle, WA · On-site
$55K - $65K/yr
... Assist with accounts receivable activity and posting customer payments. • Prepare and reconcile daily bank downloads and verify deposits across multiple bank accounts. • Track and process ...
Seattle, WA · On-site
$55K - $65K/yr
... Assist with accounts receivable activity and posting customer payments. • Prepare and reconcile daily bank downloads and verify deposits across multiple bank accounts. • Track and process ...
Kirkland, WA · On-site
$24.91 - $39.85/hr
Responsible for using and/or creating reports to identify and abstract clinical data and reconcile ... Extended Illness Bank/Sick Leave * Paid holidays * Voluntary hospital indemnity insurance
Kirkland, WA · On-site
$24.91 - $39.85/hr
Responsible for using and/or creating reports to identify and abstract clinical data and reconcile ... Extended Illness Bank/Sick Leave * Paid holidays * Voluntary hospital indemnity insurance
Kirkland, WA · On-site
Responsible for using and/or creating reports to identify and abstract clinical data and reconcile ... Extended Illness Bank/Sick Leave * Paid holidays * Voluntary hospital indemnity insurance
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Kirkland, WA · On-site
Responsible for using and/or creating reports to identify and abstract clinical data and reconcile ... Extended Illness Bank/Sick Leave * Paid holidays * Voluntary hospital indemnity insurance
Seattle, WA · On-site
$83K - $98K/yr
... and assist with preparation of financial reports. Sr. Property Accountant provides leadership to ... bank reconciliations * Manage accounts receivable process including but not limited to: A/R ...
Seattle, WA · On-site
$83K - $98K/yr
... and assist with preparation of financial reports. Sr. Property Accountant provides leadership to ... bank reconciliations * Manage accounts receivable process including but not limited to: A/R ...
$9.94 - $11.97
2% of jobs
$11.97 - $14
3% of jobs
$14 - $16.03
7% of jobs
$17.18 is the 25th percentile. Wages below this are outliers.
$16.03 - $18.05
22% of jobs
The median wage is $20.08 / hr.
$18.05 - $20.08
16% of jobs
$20.08 - $22.11
20% of jobs
$23.03 is the 75th percentile. Wages above this are outliers.
$22.11 - $24.14
11% of jobs
$24.14 - $26.16
8% of jobs
$26.16 - $28.19
5% of jobs
$28.19 - $30.22
4% of jobs
$30.22 - $32.25
1% of jobs
$9
$21
$32
| Aspect | Assistant Bank Reconciliation | Bookkeeper |
|---|---|---|
| Primary Role | Reconcile bank statements and ensure accuracy of financial records related to bank accounts | Record, classify, and maintain all financial transactions of a business |
| Certifications | Typically no formal certification required, but familiarity with accounting software helps | Often requires basic accounting knowledge; certifications like QuickBooks Certified User are common |
| Work Environment | Office setting, working closely with accounting or finance teams | Office environment, handling daily bookkeeping tasks |
| Industry Usage | Common in finance, banking, and accounting firms | Used across various industries for financial record-keeping |
While both roles involve financial data, an Assistant Bank Reconciliation focuses specifically on verifying bank statements, whereas a Bookkeeper manages all financial transactions. The roles often overlap but differ in scope and responsibilities.
