Balance & Audit Clerk
Saint Louis, MO · On-site
Review ATM Service orders to ensure each ATM serviced is in balance. Research and reconcile any and all out-of-balance ATMs within 24 hours of verification of residual cash or cash add service.
Saint Louis, MO · On-site
Review ATM Service orders to ensure each ATM serviced is in balance. Research and reconcile any and all out-of-balance ATMs within 24 hours of verification of residual cash or cash add service.
Saint Louis, MO · On-site
Review ATM Service orders to ensure each ATM serviced is in balance. Research and reconcile any and all out-of-balance ATMs within 24 hours of verification of residual cash or cash add service.
Review ATM Service orders to ensure each ATM serviced is in balance. Research and reconcile any and all out-of-balance ATMs within 24 hours of verification of residual cash or cash add service.
Review ATM Service orders to ensure each ATM serviced is in balance. Research and reconcile any and all out-of-balance ATMs within 24 hours of verification of residual cash or cash add service.
Saint Louis, MO · On-site
$21.25/hr
Review ATM Service orders to ensure each ATM serviced is in balance. Research and reconcile any and all out-of-balance ATMs within 24 hours of verification of residual cash or cash add service.
Saint Louis, MO · On-site
$21.25/hr
Review ATM Service orders to ensure each ATM serviced is in balance. Research and reconcile any and all out-of-balance ATMs within 24 hours of verification of residual cash or cash add service.
Review ATM Service orders to ensure each ATM serviced is in balance. Research and reconcile any and all out-of-balance ATMs within 24 hours of verification of residual cash or cash add service.
Quick apply
Review ATM Service orders to ensure each ATM serviced is in balance. Research and reconcile any and all out-of-balance ATMs within 24 hours of verification of residual cash or cash add service.
Perform ATM cash imports and daily reconciliations across assigned general ledger accounts. * Balance ATM transactions and reconcile the ATM general ledger accounts. * Review branch cash activity and ...
Perform ATM cash imports and daily reconciliations across assigned general ledger accounts. * Balance ATM transactions and reconcile the ATM general ledger accounts. * Review branch cash activity and ...
Perform ATM cash imports and daily reconciliations across assigned general ledger accounts. * Balance ATM transactions and reconcile the ATM general ledger accounts. * Review branch cash activity and ...
Perform ATM cash imports and daily reconciliations across assigned general ledger accounts. * Balance ATM transactions and reconcile the ATM general ledger accounts. * Review branch cash activity and ...
Burr Ridge, IL · On-site
$24.50/hr
Communicate and work directly with route personnel on ATM balancing. * Work effectively with departmental employees to resolve and reconcile outages. * Manage ICOM process and backup as necessary.
Burr Ridge, IL · On-site
$24.50/hr
Communicate and work directly with route personnel on ATM balancing. * Work effectively with departmental employees to resolve and reconcile outages. * Manage ICOM process and backup as necessary.
Preparing monthly statistical control reports for account reconciliation (WIP accounts), ATM, debit card, and lockbox profitability, and other reports as requested. * Resolving customer issues ...
Preparing monthly statistical control reports for account reconciliation (WIP accounts), ATM, debit card, and lockbox profitability, and other reports as requested. * Resolving customer issues ...
Preparing monthly statistical control reports for account reconciliation (WIP accounts), ATM, debit card, and lockbox profitability, and other reports as requested. * Resolving customer issues ...
Quick apply
Preparing monthly statistical control reports for account reconciliation (WIP accounts), ATM, debit card, and lockbox profitability, and other reports as requested. * Resolving customer issues ...
Preparing monthly statistical control reports for account reconciliation (WIP accounts), ATM, debit card, and lockbox profitability, and other reports as requested. * Resolving customer issues ...
Preparing monthly statistical control reports for account reconciliation (WIP accounts), ATM, debit card, and lockbox profitability, and other reports as requested. * Resolving customer issues ...
Elk Grove Village, IL · On-site
$100K/yr
Preparing monthly statistical control reports for account reconciliation (WIP accounts), ATM, debit card, and lockbox profitability, and other reports as requested. * Resolving customer issues ...
Elk Grove Village, IL · On-site
$100K/yr
Preparing monthly statistical control reports for account reconciliation (WIP accounts), ATM, debit card, and lockbox profitability, and other reports as requested. * Resolving customer issues ...
Preparing monthly statistical control reports for account reconciliation (WIP accounts), ATM, debit card, and lockbox profitability, and other reports as requested. * Resolving customer issues ...
Preparing monthly statistical control reports for account reconciliation (WIP accounts), ATM, debit card, and lockbox profitability, and other reports as requested. * Resolving customer issues ...
Yorktown, VA · On-site
$18.75 - $25.50/hr
Assists with ATM Cassette processing and reconciliations. * Process Branch and ATM currency orders. * Assumes responsibility for establishing and maintaining effective communication, coordination ...
Yorktown, VA · On-site
$18.75 - $25.50/hr
Assists with ATM Cassette processing and reconciliations. * Process Branch and ATM currency orders. * Assumes responsibility for establishing and maintaining effective communication, coordination ...
$18.73 - $23.42/hr
ATM Currency Processing, Online Banking and other Account Reconciliations, Bank Wires, and maintains department supplies. * Assumes responsibility for effectively researching, tracking, and resolving ...
$18.73 - $23.42/hr
ATM Currency Processing, Online Banking and other Account Reconciliations, Bank Wires, and maintains department supplies. * Assumes responsibility for effectively researching, tracking, and resolving ...
Burr Ridge, IL · On-site
$50K - $62K/yr
Facilitate issuance and reporting ATM debit card * Compile and analyze financial information to reconcile cash * Develop, monitor and analyze bank fees including credit card and cash management ...
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Burr Ridge, IL · On-site
$50K - $62K/yr
Facilitate issuance and reporting ATM debit card * Compile and analyze financial information to reconcile cash * Develop, monitor and analyze bank fees including credit card and cash management ...
New Bedford, MA · On-site
$20 - $25/hr
Balance and perform ATM reconciliations. * Verify & post official checks. * Ensure teller recap is balanced each morning and notify the CFO with any discrepancies. * Clearing & posting to test ...
Quick apply
New Bedford, MA · On-site
$20 - $25/hr
Balance and perform ATM reconciliations. * Verify & post official checks. * Ensure teller recap is balanced each morning and notify the CFO with any discrepancies. * Clearing & posting to test ...
$28 - $38/hr
Prepare and post journal entries to reconcile daily debit and credit card settlements, ATM settlements; investigate and clear suspense items. Prepare and post monthly general ledger transactions ...
$28 - $38/hr
Prepare and post journal entries to reconcile daily debit and credit card settlements, ATM settlements; investigate and clear suspense items. Prepare and post monthly general ledger transactions ...
Stringtown, OK · On-site
$16/hr
You will keep accurate records of monetary exchanges, authorization forms, and transactions reconciliations and fill/maintain ATM's, Kiosks, Recycler, and Dyna Cash Machines. * Perform other ...
Stringtown, OK · On-site
$16/hr
You will keep accurate records of monetary exchanges, authorization forms, and transactions reconciliations and fill/maintain ATM's, Kiosks, Recycler, and Dyna Cash Machines. * Perform other ...
Stringtown, OK · On-site
$16/hr
You will keep accurate records of monetary exchanges, authorization forms, and transactions reconciliations and fill/maintain ATM's, Kiosks, Recycler, and Dyna Cash Machines. * Perform other ...
Stringtown, OK · On-site
$16/hr
You will keep accurate records of monetary exchanges, authorization forms, and transactions reconciliations and fill/maintain ATM's, Kiosks, Recycler, and Dyna Cash Machines. * Perform other ...
Stringtown, OK · On-site
$16/hr
You will keep accurate records of monetary exchanges, authorization forms, and transactions reconciliations and fill/maintain ATM's, Kiosks, Recycler, and Dyna Cash Machines. * Perform other ...
Stringtown, OK · On-site
$16/hr
You will keep accurate records of monetary exchanges, authorization forms, and transactions reconciliations and fill/maintain ATM's, Kiosks, Recycler, and Dyna Cash Machines. * Perform other ...
$14.90 - $16.63
9% of jobs
$16.63 - $18.36
8% of jobs
$19.25 is the 25th percentile. Wages below this are outliers.
$18.36 - $20.08
17% of jobs
The median wage is $21.76 / hr.
$20.08 - $21.81
17% of jobs
$21.81 - $23.54
12% of jobs
$23.54 - $25.26
9% of jobs
$26.34 is the 75th percentile. Wages above this are outliers.
$25.26 - $26.99
6% of jobs
$26.99 - $28.72
6% of jobs
$28.72 - $30.44
5% of jobs
$30.44 - $32.17
4% of jobs
$32.17 - $33.89
6% of jobs
$14
$23
$33
In an ATM Reconciliation role, your typical day involves reviewing transaction reports, comparing records from different financial sources, and identifying discrepancies between ATM cash balances and bank statements. You'll communicate with branch personnel, cash handlers, or external vendors to investigate and resolve any mismatches. The role often requires preparing and submitting regular reports, keeping detailed documentation, and assisting with internal or external audits. It’s a dynamic position that provides exposure to various banking operations and helps build valuable experience for further advancement in financial services.
To excel in ATM Reconciliation, you need strong analytical abilities, attention to detail, and familiarity with finance or accounting principles, often supported by an associate's or bachelor's degree in finance, accounting, or a related field. Experience with reconciliation software, spreadsheets (especially Microsoft Excel), and banking systems such as core account management tools is highly valuable. Effective communication, time management, and problem-solving skills help distinguish top performers in this role. These competencies ensure accurate financial reporting, swift resolution of discrepancies, and compliance with banking regulations.
An ATM Reconciliation job involves monitoring and balancing cash transactions in ATMs to ensure accuracy and prevent discrepancies. Responsibilities include verifying cash deposits, withdrawals, and transfers against banking records, identifying errors or shortages, and preparing reports. This role requires strong attention to detail, financial auditing skills, and proficiency in reconciliation software.

SHIFT: 10AM UNTIL CLOSING
Job Summary:
Duties / Responsibilities:
Skills and Qualifications:
Minimum two years higher education or two to three years reconciliation experience, preferably in banking and/or related experience in Loomis CMS Operations. Experience with PC and applications software, including MS Office. Good interpersonal skills, oral and written communication skills are required.