Senior Reconciliation Analyst
Orlando, FL · On-site
The Senior Reconciliation Analyst performs reconciliation of a large number of deposit, loan, and ... treasury or banking with an emphasis of loan accounting, financial controls and systems.
Orlando, FL · On-site
The Senior Reconciliation Analyst performs reconciliation of a large number of deposit, loan, and ... treasury or banking with an emphasis of loan accounting, financial controls and systems.
Orlando, FL · On-site
The Senior Reconciliation Analyst performs reconciliation of a large number of deposit, loan, and ... treasury or banking with an emphasis of loan accounting, financial controls and systems.
The Senior Reconciliation Analyst performs reconciliation of a large number of deposit, loan, and ... treasury or banking with an emphasis of loan accounting, financial controls and systems.
Quick apply
The Senior Reconciliation Analyst performs reconciliation of a large number of deposit, loan, and ... treasury or banking with an emphasis of loan accounting, financial controls and systems.
Tampa, FL · On-site
The Senior Reconciliation Analyst performs reconciliation of a large number of deposit, loan, and ... treasury or banking with an emphasis of loan accounting, financial controls and systems.
Tampa, FL · On-site
The Senior Reconciliation Analyst performs reconciliation of a large number of deposit, loan, and ... treasury or banking with an emphasis of loan accounting, financial controls and systems.
The Senior Reconciliation Analyst performs reconciliation of a large number of deposit, loan, and ... treasury or banking with an emphasis of loan accounting, financial controls and systems.
The Senior Reconciliation Analyst performs reconciliation of a large number of deposit, loan, and ... treasury or banking with an emphasis of loan accounting, financial controls and systems.
Lanham, MD · On-site
$30 - $40/hr
Proven experience in cost accounting, bank reconciliation, and financial accounting. * Strong knowledge of accounting principles and financial reporting standards (GAAP). * Proficiency in accounting ...
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Lanham, MD · On-site
$30 - $40/hr
Proven experience in cost accounting, bank reconciliation, and financial accounting. * Strong knowledge of accounting principles and financial reporting standards (GAAP). * Proficiency in accounting ...
Lanham, MD · On-site
$30 - $40/hr
Proven experience in cost accounting, bank reconciliation, and financial accounting. * Strong knowledge of accounting principles and financial reporting standards (GAAP). * Proficiency in accounting ...
Quick apply
Lanham, MD · On-site
$30 - $40/hr
Proven experience in cost accounting, bank reconciliation, and financial accounting. * Strong knowledge of accounting principles and financial reporting standards (GAAP). * Proficiency in accounting ...
Scottsdale, AZ · On-site
The Bank Reconciliation Manager is a hands-on people leader responsible for driving performance ... As the primary owner of accounting outcomes, the Accounting Manager establishes clear expectations ...
Scottsdale, AZ · On-site
The Bank Reconciliation Manager is a hands-on people leader responsible for driving performance ... As the primary owner of accounting outcomes, the Accounting Manager establishes clear expectations ...
Enid, OK · On-site
Accounts Payable, Credit Card Reconciliation, Accounts Receivable, Bank reconciliation and account ... Minimum of one to two years of accounting experience preferred. Essential Functions:1. Downloads ...
Enid, OK · On-site
Accounts Payable, Credit Card Reconciliation, Accounts Receivable, Bank reconciliation and account ... Minimum of one to two years of accounting experience preferred. Essential Functions:1. Downloads ...
Scottsdale, AZ · On-site
The Bank Reconciliation Manager is a hands-on people leader responsible for driving performance ... As the primary owner of accounting outcomes, the Accounting Manager establishes clear expectations ...
Scottsdale, AZ · On-site
The Bank Reconciliation Manager is a hands-on people leader responsible for driving performance ... As the primary owner of accounting outcomes, the Accounting Manager establishes clear expectations ...
$62K/yr
Cash Accountant Location: Catoosa, OK | Pay: $62k+ Annually | Schedule: Day Shift | Type: Direct ... Bank Reconciliation: * Perform monthly reconciliations of all bank accounts, ensuring accurate ...
$62K/yr
Cash Accountant Location: Catoosa, OK | Pay: $62k+ Annually | Schedule: Day Shift | Type: Direct ... Bank Reconciliation: * Perform monthly reconciliations of all bank accounts, ensuring accurate ...
Catoosa, OK · On-site
$62K/yr
Cash Accountant Location: Catoosa, OK | Pay: $62k+ Annually | Schedule: Day Shift | Type: Direct ... Bank Reconciliation: * Perform monthly reconciliations of all bank accounts, ensuring accurate ...
Catoosa, OK · On-site
$62K/yr
Cash Accountant Location: Catoosa, OK | Pay: $62k+ Annually | Schedule: Day Shift | Type: Direct ... Bank Reconciliation: * Perform monthly reconciliations of all bank accounts, ensuring accurate ...
Portland, OR · On-site
$23 - $25/hr
The Staff Accountant will manage bank reconciliations, journal entries, and general ledger activities to provide accurate financial data for decision-making. By performing detailed account ...
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Portland, OR · On-site
$23 - $25/hr
The Staff Accountant will manage bank reconciliations, journal entries, and general ledger activities to provide accurate financial data for decision-making. By performing detailed account ...
Fremont, CA · On-site
- Accountant Position Summary The accountant will be responsible for daily accounting operations, including accounts payable, bank reconciliation, and assisting with monthly financial reporting. This ...
Fremont, CA · On-site
- Accountant Position Summary The accountant will be responsible for daily accounting operations, including accounts payable, bank reconciliation, and assisting with monthly financial reporting. This ...
Edison, NJ · On-site
$25 - $30/hr
We are looking for a Staff Accountant in Middlesex County, NJ ... In this role you will be responsible for balance sheets, bank reconciliations, journal entries, and ...
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Edison, NJ · On-site
$25 - $30/hr
We are looking for a Staff Accountant in Middlesex County, NJ ... In this role you will be responsible for balance sheets, bank reconciliations, journal entries, and ...
- Accountant Position Summary The accountant will be responsible for daily accounting operations, including accounts payable, bank reconciliation, and assisting with monthly financial reporting. This ...
- Accountant Position Summary The accountant will be responsible for daily accounting operations, including accounts payable, bank reconciliation, and assisting with monthly financial reporting. This ...
Fremont, CA · On-site
- Accountant Position Summary The accountant will be responsible for daily accounting operations, including accounts payable, bank reconciliation, and assisting with monthly financial reporting. This ...
Quick apply
Fremont, CA · On-site
- Accountant Position Summary The accountant will be responsible for daily accounting operations, including accounts payable, bank reconciliation, and assisting with monthly financial reporting. This ...
Fremont, CA · On-site
Accountant Position Summary The accountant will be responsible for daily accounting operations, including accounts payable, bank reconciliation, and assisting with monthly financial reporting. This ...
Quick apply
Fremont, CA · On-site
Accountant Position Summary The accountant will be responsible for daily accounting operations, including accounts payable, bank reconciliation, and assisting with monthly financial reporting. This ...
Nashville, TN · On-site
Key Responsibilities Daily Bank Accounts Reconciliation o Perform daily reconciliation of bank ... General Accounting Duties o Prepare and record journal entries with proper documentation, approvals ...
Nashville, TN · On-site
Key Responsibilities Daily Bank Accounts Reconciliation o Perform daily reconciliation of bank ... General Accounting Duties o Prepare and record journal entries with proper documentation, approvals ...
Warren, NJ · On-site
$27.71 - $32.09/hr
Experience in reconciliation, accounting operations, or financial operations. * Hands-on knowledge of bank reconciliations, account reconciliations, and daily reconciliation activities. * Strong ...
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Warren, NJ · On-site
$27.71 - $32.09/hr
Experience in reconciliation, accounting operations, or financial operations. * Hands-on knowledge of bank reconciliations, account reconciliations, and daily reconciliation activities. * Strong ...
$22.59 - $32.93/hr
... accounting software via journal entry, and enters sales into daily reconciliation spreadsheet ... Daily reconciles all city departments credit card processing software reports to bank statements.
$22.59 - $32.93/hr
... accounting software via journal entry, and enters sales into daily reconciliation spreadsheet ... Daily reconciles all city departments credit card processing software reports to bank statements.
$12.02 - $14.53
6% of jobs
$16.81 is the 25th percentile. Wages below this are outliers.
$14.53 - $17.05
20% of jobs
$17.05 - $19.56
12% of jobs
The median wage is $21.11 / hr.
$19.56 - $22.07
18% of jobs
$23.69 is the 75th percentile. Wages above this are outliers.
$22.07 - $24.58
28% of jobs
$24.58 - $27.10
8% of jobs
$27.10 - $29.61
3% of jobs
$29.61 - $32.12
2% of jobs
$32.12 - $34.64
2% of jobs
$34.64 - $37.15
0% of jobs
$37.15 - $39.66
0% of jobs
$12
$22
$39
| Aspect | Bank Reconciliation Accountant | Bookkeeper |
|---|---|---|
| Credentials | Typically requires accounting certifications or relevant experience | Often requires basic bookkeeping or no formal certification |
| Work Environment | Works in finance or accounting departments, often in larger organizations | Works in small to medium businesses, handling daily financial transactions |
| Primary Responsibilities | Reconciles bank statements, ensures accuracy of financial records | Records daily transactions, maintains ledgers |
The Bank Reconciliation Accountant focuses on verifying bank statements and ensuring financial accuracy, often requiring accounting certifications. In contrast, a Bookkeeper handles daily transaction recording and ledger maintenance, usually with less formal credentials. Both roles are essential in financial management but differ in scope and specialization.

8.6
Based on 10 frontline employees who took The Breakroom Quiz
31st of 170 rated banks
JOB SUMMARY:
The Senior Reconciliation Analyst performs reconciliation of a large number of deposit, loan, and payments assets, liability, income, and expense accounts to general ledger, including but not limited to several significant accounts: Loan Control, Loans in Process, Loan Payments in Process, investor accounts, disbursement accounts, Bank operating checking accounts established for Lending & Deposit functions, Deposit Control, CD Control, Teller Cash & ATM reconciliation. The accounts are managed using Prologue, Frontier, FIS IBS Core, reports and spreadsheets. The Bank reconciliation process is a two-step process and involves transaction matching (Bank Records versus system Records) in the first step and matching subsystems and general ledger balances in the second step. Customized reports are used to facilitate the reconciliation process. Final reconciliation with the GL requires a validation of system loan, deposit and payments balances as based on the subsystem data against total cash balances in the GL. Analyst ensures assigned reconciliation are completed on time and accurately reporting outages or balancing delays to management as well as investigating and clearing reconciling items.
ESSENTIAL DUTIES AND RESPONSIBILITIES:
Operations
EDUCATION and/or EXPERIENCE:
The Statements above are intended to describe the general nature and level of work being performed by people assigned to this position. They are not intended to be an exhaustive list of responsibilities, duties, and skills. Because these statements are general, the job description is used for a variety of purposes including job evaluations; performance reviews; recruitment; etc. All Associates are required to adhere to the highest legal and ethical standards applicable to our industry. It is the policy of Seacoast Bank that all Associates will be familiar and compliant with all regulatory, legal, ethical and Bank risk mitigation requirements pertaining to both our industry and their individual roles. This includes the on time, successful completion of annual required training post-hire and effective execution of role responsibilities.
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Commercial banking
1,001 - 5,000 Employees
Stuart, FL, US