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Banking Data Entry Jobs in Minnesota (NOW HIRING)

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... bank statement. * Perform credit inquiries and set up for all new accounts. Accounts Payable: * Review invoices from vendors for accuracy and completion and perform data entry to generate USP payment ...

Responsible for data input and inquiries relative to all lending functions of the Bank. Responsible ... Requires a high level of accuracy with data entry and the ability to problem solve. * Requires ...

New

Business Assistant - Boats

Shakopee, MN · On-site

$20 - $26.75/hr

Performs closing activities at the end of the day, i.e., till reconciliation procedures, batch detail report, Daily Cash Report, bank deposit slip preparation, etc. * Completes data entry into IDS of ...

New

Accounting Clerk

Lakeville, MN · On-site

$19.25 - $24.50/hr

Performs data entry of financial transactions into the accounting system accurately and in a timely ... bank reconciliations & gathering supporting documentation. * Assists will internal department ...

Accounting Clerk

Minneapolis, MN · On-site

$19.25 - $24.75/hr

Performs data entry of financial transactions into the accounting system accurately and in a timely ... bank reconciliations & gathering supporting documentation. * Assists will internal department ...

Business Assistant - Boats

Shakopee, MN · On-site

$20 - $26.75/hr

Performs closing activities at the end of the day, i.e., till reconciliation procedures, batch detail report, Daily Cash Report, bank deposit slip preparation, etc. * Completes data entry into IDS of ...

New

Customer Service Specialist

Saint Paul, MN · On-site

$17.25 - $22.75/hr

... the Banking Industry. This is a 12+ Months contract opportunity with long-term potential and is ... Data entry, generate reports, and deliver to customer. * Labeling files, organizing carts, sorting ...

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Showing results 21-40

Banking Data Entry information

See Minnesota salary details

$10

$19

$27

How much do banking data entry jobs pay per hour?

As of Sep 3, 2026, the average hourly pay for banking data entry in Minnesota is $19.07, according to ZipRecruiter salary data. Most workers in this role earn between $16.01 and $21.44 per hour, depending on experience, location, and employer.

What is a banking data entry?

A Banking Data Entry job involves inputting, updating, and maintaining financial data in a bank's database or system. This role requires accuracy, attention to detail, and knowledge of banking procedures to ensure transactions are recorded correctly. Responsibilities may include processing deposits, withdrawals, loans, and customer account information. Strong typing skills and familiarity with financial software are often necessary.

What does a banking data entry do?

A typical day in a Banking Data Entry position involves inputting and validating financial transactions, updating customer account records, and ensuring that all data is accurately entered into banking systems. You may also be responsible for reconciling discrepancies, assisting with audits, and preparing routine reports for management. Collaboration with other departments, such as customer service and compliance teams, is common to address inquiries or resolve data issues. The work is detail-oriented and methodical, providing a stable routine in a professional office environment.

What are the key skills and qualifications needed to thrive in banking data entry?

Strong attention to detail, fast and accurate typing skills, and a high school diploma or equivalent are essential for a Banking Data Entry role. Familiarity with banking software, spreadsheets, and databases, as well as experience with financial data systems, are often required. Time management, organizational skills, and the ability to maintain confidentiality under pressure help individuals excel in this position. These skills are crucial to ensure accurate processing of sensitive financial information and to uphold the integrity of banking operations.

What are the most commonly searched types of Banking Data Entry jobs in Minnesota?

The most popular types of Banking Data Entry jobs in Minnesota are:

What are popular job titles related to Banking Data Entry jobs in Minnesota?

For Banking Data Entry jobs in Minnesota, the most frequently searched job titles are:

What job categories do people searching Banking Data Entry jobs in Minnesota look for?

The top searched job categories for Banking Data Entry jobs in Minnesota are:

What cities in Minnesota are hiring for Banking Data Entry jobs?

Cities in Minnesota with the most Banking Data Entry job openings:

Infographic showing various Banking Data Entry job openings in Minnesota as of August 2026, with employment types broken down into 56% Full Time, 20% Part Time, 10% Temporary, and 14% Contract. Highlights an 100% In-person job distribution, with an average salary of $39,671 per year, or $19.1 per hour.

Full-Charge Bookkeeper / Accounting & Administrative Coordinator

Cloud Recycling

Saint Paul, MN • On-site

$50K - $67K/yr

Other

Retirement

Posted 3 days ago

New


Key responsibilities

  • Reconcile daily bank and credit card transactions in QuickBooks Online, including matching, categorizing, and attaching supporting documentation.

  • Monitor and enter vendor invoices, verify against prior submissions, and process payments through various portals and methods.

  • Review employee timesheets, reconcile payroll data, and support payroll-related contributions and incentive calculations.


Job description

Department: Accounting / Administration

Reports To:

Employment Type: Full-Time, Non-Exempt

Location: Remote — supports Minnesota, Wisconsin, and Illinois locations

Position Summary

Cloud Recycling is seeking a detail-oriented, highly organized Bi-Lingual Full-Charge Bookkeeper / Accounting

& Administrative Coordinator to manage the company's day-to-day financial operations across its Minnesota,

Wisconsin, and Illinois locations. This role owns daily bank and credit card reconciliation, accounts payable,

payroll data processing, vendor remittance reporting, and fleet/asset recordkeeping within QuickBooks Online

and supporting platforms (Connecteam, PowerApps, AssetTiger, Samsara, Google Drive). The ideal candidate is

comfortable managing a high volume of recurring daily, weekly, and monthly deadlines, communicating

proactively with vendors and staff, and takes ownership of accurate, well-documented financial records.

Key Responsibilities

Daily Banking & Bank Reconciliation

• Reconcile daily transactions across multiple bank and credit card accounts (Associated Bank, Wells Fargo,

American Express, Chase Business Cards, eBay Checking, Flourish Savings) in QuickBooks Online.

• Enter and categorize credit card and bank receipts as expenses, coding each transaction by payment account,

location, and category.

• Match and clear ACH settlements, Zelle transfers (incoming and outgoing), remote check deposits, payroll

checks, and bill payments to the correct QuickBooks records.

• Split transactions across cost centers/locations when a single charge covers multiple business cards or

departments, ensuring split totals tie to the transaction amount.

• Attach supporting documentation (receipts, statements, confirmations) to every transaction entered.

• Identify missing receipts or unmatched charges and follow up by creating tasks in Connecteam for the

employee responsible.

Accounts Payable & Vendor Invoice Management

• Monitor a shared inbox for incoming vendor invoices and payment requests from roughly 30+ recurring

vendors and enter them as bills or expenses in QuickBooks with correct location, category, and customer/job

coding.

• Verify invoices against prior submissions to prevent duplicate payments; confirm amounts and backup

documentation before entry.

• Track and apply vendor credits, and process monthly supplier statements and reconciliations (e.g., Best Buy,

Costco, Forward Air, Luna Mattress, Target Salvage, Warner Stellian).

• Process ad hoc and recurring vendor payments through online vendor portals, ACH, and company credit

card profiles.

• Enter customer scrap-load and wholesale deposits, matching purchase/BOL documentation and saving

records to shared drives.


Payroll Support & Benefits Administration

• Review weekly employee timesheets across all locations (warehouses, drivers, eBay store) in Connecteam;

confirm supervisor approvals and flag missing hours or PTO requests.

• Export approved payroll hours from Connecteam and reconcile them against QuickBooks Payroll each

week, including manual entry of overtime and salaried-employee adjustments.

• Submit weekly employee 401(k) deferral and company matching contributions to the plan provider.

• Calculate and document monthly (eBay) and quarterly (wholesale) sales incentive/commission payments for

eligible employees, and route final figures for payroll entry.

Vendor & ACH Remittance Reporting

• Prepare weekly ACH remittance reports to vendor partners, confirming report totals match bank activity.

• Maintain accurate distribution lists and copy company leadership on all remittance correspondence.

Fleet & Asset Recordkeeping

• Maintain vehicle and equipment records in the fleet asset system, including DMV registration and license

plate information.

• Log repair and maintenance invoices against the correct asset, updating mileage/engine hours and

maintenance history at each service event.

General Administrative & Cross-Functional Support

• Create and assign tasks in Connecteam to route missing documentation, deposits, or approvals to the

appropriate team member.

• Maintain organized digital recordkeeping (shared drive folders, email folders) for receipts, statements,

contracts, and sales/scrap reports.

• Support ownership and management with ad hoc reporting, research, and reconciliation requests as needed.

Qualifications

• 2+ years of bookkeeping, accounts payable, or full-charge accounting experience; multi-location or multi-

entity experience preferred.

• Proficiency with QuickBooks Online required; experience with Connecteam, Microsoft PowerApps, or

AssetTiger is a plus (training provided).

• High level of accuracy and attention to detail when managing a high volume of transactions and recurring

deadlines.

• Strong written communication skills for coordinating with vendors and management.

• Ability to independently prioritize and track many concurrent daily, weekly, biweekly, and monthly

processes.

• Comfortable working with payroll-adjacent data entry and basic commission/incentive calculations.

• Associate's or Bachelor's degree in Accounting, Finance, or Business preferred, or equivalent practical

experience.

Work Environment

This is a remote, full-time position supporting daily operations across Cloud Recycling's Minnesota, Wisconsin,

and Illinois locations. Standard business hours, Monday through Friday, with occasional flexibility needed around

week-end close and payroll deadlines.