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Assistant Bank Reconciliation Jobs (NOW HIRING)

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You would assist with accounts payable, accounts receivable, rent collection, owner reporting, bank deposits, account reconciliation, and financial recordkeeping while maintaining strict ...

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Primary Responsibilities: · Enter banking transactions into accounting software daily · Perform ... ledger · Assist with the month end close process and adhering to deadlines · Support the ...

ACCOUNTING ASSISTANT

Tuscaloosa, AL · On-site

$17.50 - $22.75/hr

Must be able to deal with vendors, and do bank reconciliation. Physical: Requires sitting, standing ... controller or assistant controller. 2.13 Does quarterly reporting on form 1930-7 on those ...

Reconciliation Analyst

Hagerstown, MD · On-site

$55K - $75K/yr

You will leverage methodical precision to examine bank statements, general ledgers, and other ... You will collaborate with cross-functional teams to implement solutions, assist in creating ...

You will leverage methodical precision to examine bank statements, general ledgers, and other ... You will collaborate with cross-functional teams to implement solutions, assist in creating ...

Staff Accountant

Chicago, IL · On-site

$55K - $62K/yr

Perform monthly bank reconciliation of the court cost bank account. Ability to use AI feature in ERP system to assist in bank reconciliation. * Respond to all client inquiries regarding potential ...

Staff Accountant

Chicago, IL · On-site

$55K - $62K/yr

Perform monthly bank reconciliation of the court cost bank account. Ability to use AI feature in ERP system to assist in bank reconciliation. * Respond to all client inquiries regarding potential ...

Perform monthly bank reconciliation of the court cost bank account. Ability to use AI feature in ERP system to assist in bank reconciliation. * Respond to all client inquiries regarding potential ...

Jr. Accountant

Plano, TX · On-site

$45K - $57K/yr

In charge of daily bank reconciliation and report monthly bank reconciliation to his or her supervisor. Assist in vendor and customer adds, change and deletes with help. Handle AP and AR customer ...

The Staff Accountant will manage bank reconciliations, journal entries, and general ledger ... * Assist with job costing and inventory accounting to track retail operations expenses.

Manage and organize financial documents, including invoices and receipts. * Assist in preparing ... Perform general ledger reconciliation and bank reconciliation tasks. * Support public accounting ...

Job Title: Bank Reconciliation Specialist (Contract to Hire) Location: Philadelphia, PA (19104 ... • Assist with month-end and year-end close processes, including general ledger support • ...

Accountant

Libertyville, IL · On-site

$60K - $65K/yr

... * Assist in budgeting and forecasting activities to support operational planning and cost control. Skills: The required skills such as cost accounting, bank reconciliation, and general ledger ...

Accountant

Libertyville, IL · On-site

$60K - $65K/yr

... * Assist in budgeting and forecasting activities to support operational planning and cost control. Skills: The required skills such as cost accounting, bank reconciliation, and general ledger ...

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Assistant Bank Reconciliation information

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How much do assistant bank reconciliation jobs pay per hour?

As of Jul 14, 2026, the average hourly pay for assistant bank reconciliation in the United States is $18.95, according to ZipRecruiter salary data. Most workers in this role earn between $15.14 and $21.15 per hour, depending on experience, location, and employer.

What is the difference between Assistant Bank Reconciliation vs Bookkeeper?

AspectAssistant Bank ReconciliationBookkeeper
Primary RoleReconcile bank statements and ensure accuracy of financial records related to bank accountsRecord, classify, and maintain all financial transactions of a business
CertificationsTypically no formal certification required, but familiarity with accounting software helpsOften requires basic accounting knowledge; certifications like QuickBooks Certified User are common
Work EnvironmentOffice setting, working closely with accounting or finance teamsOffice environment, handling daily bookkeeping tasks
Industry UsageCommon in finance, banking, and accounting firmsUsed 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.

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What cities are hiring for Assistant Bank Reconciliation jobs? Cities with the most Assistant Bank Reconciliation job openings:
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What states have the most Assistant Bank Reconciliation jobs? States with the most job openings for Assistant Bank Reconciliation jobs include:
What job categories do people searching Assistant Bank Reconciliation jobs look for? The top searched job categories for Assistant Bank Reconciliation jobs are:

Property Management Accounting Assistant

REMAX COMMERCIAL BROKERS INC

Elmwood, LA • On-site

$36K - $46K/yr

Full-time

Retirement, PTO

Re-posted 3 days ago

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Job description

We are seeking a full time, detail oriented a Property Management Accounting Assistant. The ideal candidate will possess strong bookkeeping skills, attention to detail, strong communication & organization abilities, and the capacity to manage multiple financial tasks in a fast paced environment. This Position supports financial operations including reporting, billing, and reconciliation, ensuring accurate and timely accounting processes using software tools like AppFolio and QuickBooks. Previous property management experience and strong proficiency in Microsoft Excel, Word, Outlook and accounting software are preferred.

Overview

The Property Management Accounting Assistant is responsible for providing accounting, bookkeeping, administrative and clerical support to the Property Management Division. You would assist with accounts payable, accounts receivable, rent collection, owner reporting, bank deposits, account reconciliation, and financial recordkeeping while maintaining strict confidentiality and compliance with company policies and Louisiana Real Estate Commission regulations.

Responsibilities

  • Prepare financial reports and assist with budget management
  • Manage accounts payable and accounts receivable tasks
  • Handle tenant billing and invoice processing
  • Perform bank reconciliations and track expenses
  • Maintain accurate data entry and record keeping
  • Support general ledger management activities
  • Administration support

Required Qualifications

  • High school diploma or equivalent

Preferred Qualifications

  • 2+ years experience in property management accounting
  • Proficiency with QuickBooks and Appfolio accounting software
  • Strong knowledge of general ledger, accounts payable/receivable, and bank reconciliation
  • Excellent attention to detail and organizational skills
  • Effective communication and time management abilities
  • Outstanding customer service skills
  • Advanced proficiency in Microsoft Excel