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Bank Reconciliation Jobs in Oregon (NOW HIRING)

Staff Accountant - PT

Portland, OR ยท 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 ...

Quickbooks Tutor

Eugene, OR ยท Remote

$18 - $40/hr

Deep knowledge of QuickBooks Online and Desktop for small business accounting including chart of accounts setup, invoicing, expense tracking, bank reconciliation, payroll processing, financial ...

Quickbooks Tutor

OR ยท Remote

$18 - $40/hr

Deep knowledge of QuickBooks Online and Desktop for small business accounting including chart of accounts setup, invoicing, expense tracking, bank reconciliation, payroll processing, financial ...

Quickbooks Tutor

Portland, OR ยท Remote

$18 - $40/hr

Deep knowledge of QuickBooks Online and Desktop for small business accounting including chart of accounts setup, invoicing, expense tracking, bank reconciliation, payroll processing, financial ...

Block Advisors Accounting Specialist

Banks, OR ยท On-site

$21.25 - $28.75/hr

Handle basic accounting tasks, including data entry, bank reconciliations, and payroll management * Assist the Tax Advisors with tax return data entry and uploading returns to the Block Advisors ...

Accountant

Lincoln City, OR ยท On-site

$32.21 - $38.94/hr

Reconcile cash clearing and bank accounts. * Assist with merchant services problems and issues. Respond to charge back inquiries and retrievals. * Reconcile credit cards from the daily audits to our ...

Accountant

Lincoln City, OR ยท On-site

$32.21 - $38.94/hr

Reconcile cash clearing and bank accounts. * Assist with merchant services problems and issues. Respond to charge back inquiries and retrievals. * Reconcile credit cards from the daily audits to our ...

Accounting Specialist

Corvallis, OR ยท On-site

$25 - $32/hr

Whether you're preparing a bank reconciliation or coordinating a team lunch, your attention to detail and reliability keep our finance operations and office running smoothly. Responsibilities

Accounting Specialist

Corvallis, OR ยท On-site

$25 - $32/hr

Whether you're preparing a bank reconciliation or coordinating a team lunch, your attention to detail and reliability keep our finance operations and office running smoothly. Responsibilities

Accounting Specialist

Corvallis, OR ยท On-site

$25 - $32/hr

Whether you're preparing a bank reconciliation or coordinating a team lunch, your attention to detail and reliability keep our finance operations and office running smoothly. Responsibilities

Accounting Specialist

Philomath, OR ยท On-site

$25 - $32/hr

Whether you're preparing a bank reconciliation or coordinating a team lunch, your attention to detail and reliability keep our finance operations and office running smoothly. Responsibilities

Whether you're preparing a bank reconciliation or coordinating a team lunch, your attention to detail and reliability keep our finance operations and office running smoothly. Responsibilities

Accounting Specialist

Corvallis, OR ยท On-site

$25 - $32/hr

Whether you're preparing a bank reconciliation or coordinating a team lunch, your attention to detail and reliability keep our finance operations and office running smoothly. Responsibilities

Accountant

Astoria, OR ยท On-site

$22.45/hr

You'll be responsible to monitor accounts payable activity, general ledger support, bank reconciliations, payroll and timekeeping administration, cash management, inventory control, and financial ...

Staff Accountant

White City, OR ยท On-site

$30/hr

Perform daily and monthly bank reconciliations and investigate any discrepancies. * Prepare and process banking transactions, including ACH payments, wire transfers, and check runs. * Assist with ...

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Bank Reconciliation information

See Oregon salary details

$15

$25

$35

How much do bank reconciliation jobs pay per hour?

As of Sep 7, 2026, the average hourly pay for bank reconciliation in Oregon is $25.09, according to ZipRecruiter salary data. Most workers in this role earn between $20.58 and $29.47 per hour, depending on experience, location, and employer.

What are jobs in bank reconciliation?

Bank reconciliation jobs involve the oversight and management of financial accounts and transactions at banks to ensure they are accurate and match financial records. Accounting specialists are common positions in this industry; their responsibilities are to oversee cash and direct deposits, loan statuses, balances, payments, and transaction processes of the accounts they manage. A bank reconciliation supervisor supervises the duties of accounting specialists and handles unresolved issues with the reconciliation of accounts. Some reconciliation departments also have accounting clerks who assist the department with administrative tasks, such as preparing and filing paperwork, making and answering phone calls, and entering data into the bank's computer system.

What are the key skills and qualifications needed to thrive as a bank reconciliation specialist?

To thrive as a Bank Reconciliation Specialist, you need a strong grasp of accounting principles, attention to detail, and proficiency in financial recordkeeping, often supported by a degree in accounting or finance. Familiarity with accounting software such as QuickBooks, SAP, or Oracle, as well as Excel, is typically required. Analytical thinking, problem-solving abilities, and effective communication skills help resolve discrepancies efficiently and collaborate with other departments. These skills ensure the accuracy of financial records, prevent errors or fraud, and support sound financial decision-making within an organization.

What are some common challenges faced in a bank reconciliation role and how can they be managed?

Professionals in bank reconciliation often encounter challenges such as discrepancies between company records and bank statements, unrecorded transactions, and timing differences. These issues require strong attention to detail and effective communication with other departments, such as accounts payable and receivable, to resolve discrepancies promptly. Utilizing reconciliation software and maintaining up-to-date documentation can help streamline the process. Regular communication with the bank and internal teams also helps minimize errors and ensures accurate financial reporting.

What is the difference between Bank Reconciliation vs Accounts Payable Clerk?

AspectBank ReconciliationAccounts Payable Clerk
Primary RoleReconcile bank statements with company recordsManage and process outgoing payments to vendors
Required SkillsAttention to detail, accounting software proficiencyData entry, vendor communication, invoice processing
Work EnvironmentFinance or accounting departmentFinance or accounting department
CertificationsBookkeeping or accounting certifications helpfulBookkeeping or accounting certifications helpful

While both roles are part of the accounting team, Bank Reconciliation focuses on verifying bank statements against internal records, ensuring accuracy in cash accounts. Accounts Payable Clerks handle vendor payments and invoice processing. Both require attention to detail and accounting knowledge, but their daily tasks differ significantly.

What does a bank reconciliation do?

A bank reconciliation is a process performed by bank reconciliation clerks or accountants to compare a company's financial records with bank statements. It identifies discrepancies such as errors or unauthorized transactions, ensuring the accuracy of financial data and helping maintain correct cash balances. Proficiency with accounting software and attention to detail are important skills for this task.

What is a bank reconciliation job?

A bank reconciliation job involves comparing a company's financial records with bank statements to ensure accuracy and identify discrepancies. It requires attention to detail, knowledge of accounting principles, and proficiency with accounting software or spreadsheets. The role helps maintain accurate financial reporting and supports audit readiness.

What are the most commonly searched types of Bank Reconciliation jobs in Oregon?

The most popular types of Bank Reconciliation jobs in Oregon are:

What are popular job titles related to Bank Reconciliation jobs in Oregon?

For Bank Reconciliation jobs in Oregon, the most frequently searched job titles are:

What job categories do people searching Bank Reconciliation jobs in Oregon look for?

The top searched job categories for Bank Reconciliation jobs in Oregon are:

What cities in Oregon are hiring for Bank Reconciliation jobs?

Cities in Oregon with the most Bank Reconciliation job openings:

Infographic showing various Bank Reconciliation job openings in Oregon as of August 2026, with employment types broken down into 83% Full Time, 15% Part Time, 1% Contract, and 1% Nights. Highlights an 93% Physical, 3% Hybrid, and 4% Remote job distribution, with an average salary of $52,190 per year, or $25.1 per hour.

Staff Accountant - PT

Made In Oregon

Portland, OR โ€ข On-site

$23 - $25/hr

Part-time

Re-posted 18 hours ago


Job description

About the Role:

The Staff Accountant for Made in Oregon plays a critical role in maintaining the financial integrity and accuracy of the retail organization’s accounting records. This position is responsible for preparing and analyzing financial statements, ensuring compliance with accounting principles, and supporting month-end and year-end close processes. 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 reconciliations and job costing, this role helps identify discrepancies and supports operational efficiency. Ultimately, the Staff Accountant contributes to the overall financial health of the company by ensuring timely and precise accounting operations within the retail trade environment.

This is a On-Site Part-Time Position (1-2) days a week 

Minimum Qualifications:

  • Bachelor’s degree in Accounting, Finance, or a related field.
  • Proven experience in bank reconciliation and general ledger accounting.
  • Strong understanding of accounting principles and financial reporting standards.
  • Proficiency in preparing journal entries and balance sheet reconciliations.
  • Experience with accounting software and Microsoft Excel.

Preferred Qualifications:

  • Experience in the retail trade industry or a similar fast-paced environment.
  • Familiarity with job costing and inventory accounting processes.
  • Knowledge of ERP systems commonly used in retail accounting.
  • Strong analytical and problem-solving skills.

Responsibilities:

  • Perform daily bank reconciliations to ensure accuracy of cash balances.
  • Prepare and post journal entries related to various accounting transactions.
  • Maintain and reconcile the general ledger accounts, including balance sheet accounts.
  • Analyze account activity and investigate discrepancies to ensure accurate financial reporting.
  • Support month-end and year-end closing processes by preparing necessary schedules and documentation.
  • Assist with job costing and inventory accounting to track retail operations expenses.
  • Collaborate with cross-functional teams to gather financial data and support audits.
  • Ensure compliance with established accounting principles and company policies.

Skills:

The Staff Accountant will utilize bank reconciliation skills daily to verify cash balances and ensure accuracy in financial records. A solid grasp of accounting principles guides the preparation of journal entries and balance sheet reconciliations, ensuring compliance and precision. Analytical skills are essential for investigating account discrepancies and supporting detailed account reconciliations. Proficiency in general ledger management and job costing enables the accountant to track expenses and support operational budgeting effectively. Additionally, strong communication and software skills facilitate collaboration with internal teams and the use of accounting systems to streamline financial processes.


1 - 2 days a week in office