Staff Accountant
$58K - $77K/yr
Hands-on month-end close and balance sheet reconciliation experience * ERP system experience required (NetSuite is a plus) * Advanced Excel skills (pivots, lookups, reconciliations) * Solid ...
$58K - $77K/yr
Hands-on month-end close and balance sheet reconciliation experience * ERP system experience required (NetSuite is a plus) * Advanced Excel skills (pivots, lookups, reconciliations) * Solid ...
$58K - $77K/yr
Hands-on month-end close and balance sheet reconciliation experience * ERP system experience required (NetSuite is a plus) * Advanced Excel skills (pivots, lookups, reconciliations) * Solid ...
Fort Lauderdale, FL · On-site
$52K - $69K/yr
Perform heavy balance sheet account reconciliations and serve as the team's expert resource. * Prepare and post journal entries with accuracy and timeliness. * Complete bank reconciliations and ...
Fort Lauderdale, FL · On-site
$52K - $69K/yr
Perform heavy balance sheet account reconciliations and serve as the team's expert resource. * Prepare and post journal entries with accuracy and timeliness. * Complete bank reconciliations and ...
$51K - $67K/yr
Hands-on month-end close and balance sheet reconciliation experience * ERP system experience required (NetSuite is a plus) * Advanced Excel skills (pivots, lookups, reconciliations) * Solid ...
$51K - $67K/yr
Hands-on month-end close and balance sheet reconciliation experience * ERP system experience required (NetSuite is a plus) * Advanced Excel skills (pivots, lookups, reconciliations) * Solid ...
Richmond, TX · On-site
$61K - $77K/yr
Post debits/credits, journal entries, and maintain the full balance sheet. * Prepare financial reports and reconcile discrepancies. * Oversee and mentor junior accounting staff. * Partner with ...
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Richmond, TX · On-site
$61K - $77K/yr
Post debits/credits, journal entries, and maintain the full balance sheet. * Prepare financial reports and reconcile discrepancies. * Oversee and mentor junior accounting staff. * Partner with ...
Charleston, SC · On-site
$51K - $67K/yr
Regularly reconcile bank statements to ensure the accuracy of the company's cash balances. Generate monthly, quarterly, and annual financial statements such as income statements and balance sheets.
Charleston, SC · On-site
$51K - $67K/yr
Regularly reconcile bank statements to ensure the accuracy of the company's cash balances. Generate monthly, quarterly, and annual financial statements such as income statements and balance sheets.
Charleston, SC · On-site
$51K - $67K/yr
Regularly reconcile bank statements to ensure the accuracy of the company's cash balances. Generate monthly, quarterly, and annual financial statements such as income statements and balance sheets.
Charleston, SC · On-site
$51K - $67K/yr
Regularly reconcile bank statements to ensure the accuracy of the company's cash balances. Generate monthly, quarterly, and annual financial statements such as income statements and balance sheets.
Fort Worth, TX · On-site
$90 - $140/hr
Oversee balance sheet reconciliations, aging reviews, internal controls over financial reporting, accounting policies and procedures, and audit/examination support. * Manage accounting operations for ...
Fort Worth, TX · On-site
$90 - $140/hr
Oversee balance sheet reconciliations, aging reviews, internal controls over financial reporting, accounting policies and procedures, and audit/examination support. * Manage accounting operations for ...
Houston, TX · On-site
$29 - $32/hr
GAAP and balance sheet reconciliation best practices * Demonstrated experience preparing, reviewing, and resolving reconciling items and cash-related variances * Experience working in a shared ...
Houston, TX · On-site
$29 - $32/hr
GAAP and balance sheet reconciliation best practices * Demonstrated experience preparing, reviewing, and resolving reconciling items and cash-related variances * Experience working in a shared ...
Houston, TX · Hybrid
$29 - $32/hr
GAAP and balance sheet reconciliation best practices * Demonstrated experience preparing, reviewing, and resolving reconciling items and cash-related variances * Experience working in a shared ...
Houston, TX · Hybrid
$29 - $32/hr
GAAP and balance sheet reconciliation best practices * Demonstrated experience preparing, reviewing, and resolving reconciling items and cash-related variances * Experience working in a shared ...
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Phoenix, AZ · On-site
$76K/yr
General ledger journal entries, P&L, balance sheet reconciliation and reporting * Multiple bank reconciliations * Multi-entity consolidations and eliminations * Freight profitability reporting
Posted today
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Phoenix, AZ · On-site
$76K/yr
General ledger journal entries, P&L, balance sheet reconciliation and reporting * Multiple bank reconciliations * Multi-entity consolidations and eliminations * Freight profitability reporting
Posted today
Rancho Cucamonga, CA · On-site
$140K - $160K/yr
Conduct balance sheet reconciliations and account analysis to ensure accuracy and completeness of financial data. * Lead the month-end and year-end closing processes, including general ledger ...
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Rancho Cucamonga, CA · On-site
$140K - $160K/yr
Conduct balance sheet reconciliations and account analysis to ensure accuracy and completeness of financial data. * Lead the month-end and year-end closing processes, including general ledger ...
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Phoenix, AZ · On-site
$76K/yr
General ledger journal entries, P&L, balance sheet reconciliation and reporting * Multiple bank reconciliations * Multi-entity consolidations and eliminations * Freight profitability reporting
Posted today
Quick apply
Be Seen First
Phoenix, AZ · On-site
$76K/yr
General ledger journal entries, P&L, balance sheet reconciliation and reporting * Multiple bank reconciliations * Multi-entity consolidations and eliminations * Freight profitability reporting
Posted today
Be Seen First
Phoenix, AZ · On-site
$76K/yr
General ledger journal entries, P&L, balance sheet reconciliation and reporting * Multiple bank reconciliations * Multi-entity consolidations and eliminations * Freight profitability reporting
Posted today
Quick apply
Be Seen First
Phoenix, AZ · On-site
$76K/yr
General ledger journal entries, P&L, balance sheet reconciliation and reporting * Multiple bank reconciliations * Multi-entity consolidations and eliminations * Freight profitability reporting
Posted today
Stony Brook, NY · On-site
$66K/yr
Perform monthly bank and balance sheet reconciliations * Support preparation and analysis of monthly financial statements * Assist with budget development and annual planning processes * Contribute ...
Stony Brook, NY · On-site
$66K/yr
Perform monthly bank and balance sheet reconciliations * Support preparation and analysis of monthly financial statements * Assist with budget development and annual planning processes * Contribute ...
Rancho Cucamonga, CA · On-site
$140K - $160K/yr
Conduct balance sheet reconciliations and account analysis to ensure accuracy and completeness of financial data. * Lead the month-end and year-end closing processes, including general ledger ...
Quick apply
Rancho Cucamonga, CA · On-site
$140K - $160K/yr
Conduct balance sheet reconciliations and account analysis to ensure accuracy and completeness of financial data. * Lead the month-end and year-end closing processes, including general ledger ...
Stony Brook, NY · On-site
$66K/yr
Perform monthly bank and balance sheet reconciliations * Support preparation and analysis of monthly financial statements * Assist with budget development and annual planning processes * Contribute ...
Stony Brook, NY · On-site
$66K/yr
Perform monthly bank and balance sheet reconciliations * Support preparation and analysis of monthly financial statements * Assist with budget development and annual planning processes * Contribute ...
Columbus, OH · On-site
Perform detailed reconciliations for balance sheet accounts and subledgers * Research and resolve variances and data inconsistencies * Support auditor requests and follow‑up items * Validate data ...
Columbus, OH · On-site
Perform detailed reconciliations for balance sheet accounts and subledgers * Research and resolve variances and data inconsistencies * Support auditor requests and follow‑up items * Validate data ...
Scarsdale, NY · On-site
$70K - $80K/yr
Perform balance sheet reconciliation and account analysis to ensure accuracy of financial data. * Prepare and post journal entries, including debits & credits, to reflect all financial transactions.
Scarsdale, NY · On-site
$70K - $80K/yr
Perform balance sheet reconciliation and account analysis to ensure accuracy of financial data. * Prepare and post journal entries, including debits & credits, to reflect all financial transactions.
Secaucus, NJ · On-site
$60K - $65K/yr
Perform balance sheet reconciliation and P&L analysis with supporting schedules * Review vendors activities to determine accruals for the month * Bank and Credit card reconciliations * Record fixed ...
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Secaucus, NJ · On-site
$60K - $65K/yr
Perform balance sheet reconciliation and P&L analysis with supporting schedules * Review vendors activities to determine accruals for the month * Bank and Credit card reconciliations * Record fixed ...
OR · On-site +1
$73K - $92K/yr
Serve as the primary owner of complex balance sheet account reconciliations, ensuring compliance with company policies, robust supporting documentation, and timely resolution of reconciling items.
OR · On-site +1
$73K - $92K/yr
Serve as the primary owner of complex balance sheet account reconciliations, ensuring compliance with company policies, robust supporting documentation, and timely resolution of reconciling items.
$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
A Balance Sheet Reconciliation job involves reviewing and verifying account balances in a company's financial records to ensure accuracy and compliance with accounting standards. This process includes comparing the general ledger balances with supporting documents, identifying discrepancies, and resolving any errors. The role is crucial for maintaining financial integrity, preventing fraud, and ensuring accurate financial reporting. Professionals in this position typically work closely with accountants, auditors, and finance teams to maintain proper financial controls.
To thrive in Balance Sheet Reconciliation, you need a strong understanding of accounting principles, attention to detail, and proficiency in reconciling financial statements, typically supported by a degree in accounting or finance. Experience with accounting software such as SAP, Oracle, or QuickBooks, and familiarity with Excel and other data analysis tools, is usually required. Analytical thinking, problem-solving abilities, and organizational skills are important soft skills that enhance performance in this role. These skills ensure accurate financial records, timely issue resolution, and compliance with regulatory standards, which are crucial for a company’s financial integrity.
Working in Balance Sheet Reconciliation often involves managing large volumes of transactions and identifying discrepancies between various financial records, which can be complex and time-sensitive. Job seekers can expect to collaborate closely with accounts payable, receivable, and general ledger teams to resolve mismatches and investigate errors. The role frequently requires meeting strict monthly or quarterly deadlines, so time management and prioritization become essential. Overcoming these challenges helps ensure the company's financial statements are accurate, making the reconciler a vital part of the finance department.
The most popular types of Balance Sheet Reconciliation jobs are:
The top searched job categories for Balance Sheet Reconciliation jobs are:

A growing, privately held company with a collaborative, fast-paced culture is seeking a hands-on Staff Accountant to support general ledger activities and month-end close. This role is ideal for someone who enjoys owning reconciliations, maintaining clean financials, and contributing to an efficient close process.
Requirements:
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OUR MISSION We help the world’s most ambitious changemakers create the future by unlocking their human potential. Career Movement partners with companies to shape and develop both their organization and their team. Our extensive experience in people, leadership, growth, and navigating challenges is an incredible asset for building an exceptional team and a bright future. In 1999, Career Movement opened its humble doors as a small team ready to serve the emerging demand for technology and software development professionals in Southern California. Relying on our team-based approach and armed with our expertise and determination, Career Movement soon became a valuable business partner to companies both large and small, across numerous industries and verticals. In over 20 years in the business, Career Movement has supplied everyone from Fortune 500 companies to rising and stealth operated start-ups with the finest technology talent.
Recruiting and staffing services
11 - 50 Employees
El Segundo, CA, US
1999