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Overnight Bank Reconciliation Jobs (NOW HIRING)

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Title Company Post Closer

Pasadena, MD · On-site

$55K - $78K/yr

... bank reconciliation -Positive Pay decisions -Scanning and sending correct documents back to lender ... overnight labels -Preparing documents for recording, including state forms (for example, MD intake ...

Universal Banker

Worthington, MN

$18 - $22.50/hr

Process basic customer deposits/withdrawals following bank cash handling procedures. * Prepare ... Process night deposit bags and envelopes, reconcile and balance daily transactions through proof ...

... and reconciliation of accounts and statements, helping to ensure the accuracy of the bank ... Travel Travel is primarily local during the business day, although some out-of-area and overnight ...

Universal Banker

Worthington, MN · On-site

$18 - $22.50/hr

Process basic customer deposits/withdrawals following bank cash handling procedures. * Prepare ... Process night deposit bags and envelopes, reconcile and balance daily transactions through proof ...

... and reconciliation of accounts and statements, helping to ensure the accuracy of the bank ... Travel Travel is primarily local during the business day, although some out-of-area and overnight ...

Accounting Specialist

Johnson City, TN · On-site

$20.75 - $28/hr

POSITION SUMMARY As an Accounting Specialist, you are responsible for reconciling General Ledger ... As a representative of the Bank, you are required to present a positive and professional image at ...

Prepares GL Account and Bank Reconciliation * Prepares financial statements and other reports to ... Approximately 10% overnight travel * May occasionally need to work evening or weekend hours ...

Prepares GL Account and Bank Reconciliation * Prepares financial statements and other reports to ... Approximately 10% overnight travel * May occasionally need to work evening or weekend hours ...

AP Specialist

Youngstown, OH · On-site

$20 - $25.50/hr

Deposit Entry General Ledger Reconciliation Journal Entry Posting Banking Bank Reconciliations ... Occasional overnight travel may be required when visiting out of town locations operated by XCD ...

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Overnight Bank Reconciliation information

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How much do overnight bank reconciliation jobs pay per hour?

As of Jul 29, 2026, the average hourly pay for overnight bank reconciliation in the United States is $23.73, according to ZipRecruiter salary data. Most workers in this role earn between $19.47 and $27.88 per hour, depending on experience, location, and employer.

What is overnight bank reconciliation?

Overnight bank reconciliation is the process of matching and verifying a company’s financial records against its bank statements at the end of each business day, typically completed overnight. This ensures that all transactions, such as deposits, withdrawals, and transfers, are accurately recorded and any discrepancies are identified quickly. Performing nightly reconciliations helps businesses maintain up-to-date financial records and detect potential errors or fraudulent activity early. It is a critical function in finance departments, especially for organizations with high transaction volumes.

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

AspectOvernight Bank ReconciliationAccounts Payable Clerk
Primary RoleReconciling bank statements with company recordsProcessing and managing outgoing payments to vendors
CredentialsBookkeeping or accounting experience, sometimes certificationsBasic accounting knowledge, often with similar certifications
Work EnvironmentFinance or accounting department, often during off-hoursFinance department, regular business hours
Industry UsageCommon in finance, banking, and accounting firmsCommon in corporate finance, retail, and service industries

While both roles involve financial processes, Overnight Bank Reconciliation focuses on verifying bank transactions, often during off-hours, whereas Accounts Payable Clerks handle vendor payments during regular hours. Both require accounting knowledge and are essential for financial accuracy but serve different functions within the finance department.

What are some common challenges faced in an Overnight Bank Reconciliation role, and how can they be managed?

Overnight Bank Reconciliation specialists often encounter challenges such as balancing large volumes of transactions under tight deadlines and resolving discrepancies that arise between internal records and bank statements. Accurate attention to detail and strong analytical skills are essential for identifying and investigating errors quickly. Effective communication with other departments, such as accounting and treasury, is also critical to resolve issues efficiently. Many organizations use automated reconciliation software, but manual intervention and critical thinking are frequently required to manage exceptions or complex cases.

What are the key skills and qualifications needed to thrive as an Overnight Bank Reconciliation Specialist, and why are they important?

To thrive as an Overnight Bank Reconciliation Specialist, you need strong analytical skills, attention to detail, and a background in accounting or finance, often supported by a relevant degree or equivalent experience. Familiarity with reconciliation software, banking systems, and spreadsheets like Microsoft Excel is typically required. Strong problem-solving abilities, time management, and effective communication help you resolve discrepancies quickly and coordinate with other departments. These skills ensure accurate financial records and timely identification of errors, which are critical for maintaining trust and compliance in banking operations.
More about Overnight Bank Reconciliation jobs
What cities are hiring for Overnight Bank Reconciliation jobs? Cities with the most Overnight Bank Reconciliation job openings:
What are the most commonly searched types of Bank Reconciliation jobs? The most popular types of Bank Reconciliation jobs are:
What states have the most Overnight Bank Reconciliation jobs? States with the most job openings for Overnight Bank Reconciliation jobs include:
What job categories do people searching Overnight Bank Reconciliation jobs look for? The top searched job categories for Overnight Bank Reconciliation jobs are:
Infographic showing various Overnight Bank Reconciliation job openings in the United States as of July 2026, with employment types broken down into 100% Full Time. Highlights an 100% In-person job distribution, with an average salary of $49,363 per year, or $23.7 per hour.

$23 - $31/hr

Full-time

Posted 21 days ago


Job description

Accounting Specialist

The Accounting Specialist is responsible for managing accounts payable, credit card reconciliations, payroll accounting, banking activities, audit support, fixed asset accounting, employee reimbursement processing, and various human resources administrative functions. This position ensures timely and accurate financial transactions, maintains compliance with organizational policies and regulatory requirements, and provides critical support for payroll, employee onboarding, and annual audits.


Essential Duties and Responsibilities

Accounts Payable & Disbursements

  • Process check requests, ensuring proper budget coding, supporting documentation, and required approvals.
  • Issue checks and process payment requests on a timely basis, often under strict deadlines.
  • Process accounts payable transactions through checks, ACH payments, and vendor payment portals.
  • Prepare and coordinate overnight payment shipments through UPS and maintain shipping records.
  • Maintain filing systems for accounts payable documentation.
  • Monitor daily cash requirements and process bank transfers to cover issued payments.
  • Submit daily Positive Pay files to banking institutions.

Credit Card Administration

  • Review and distribute monthly credit card statements and transaction reports to cardholders.
  • Maintain transaction records for American Express and Wells Fargo credit card accounts.
  • Enter and reconcile credit card transactions within the accounting system.
  • Follow up on missing receipts and expense classifications.
  • Prepare year-end classifications for outstanding transactions.

General Ledger & Accounting

  • Prepare and post journal entries as required.
  • Maintain reimbursement schedules and process account reclassifications.
  • Process payroll journal entries and related cash transfers.
  • Perform monthly bank reconciliations for all bank accounts.
  • Monitor daily banking activity and reconcile deposit and disbursement accounts.
  • Maintain lease and rent schedules.
  • Prepare fixed asset schedules and calculate annual depreciation and accumulated depreciation.
  • Process year-end adjusting entries and auditor-requested journal entries.

Payroll Support

  • Process manual payroll checks when necessary.
  • Assist with payroll processing during payroll staff absences.
  • Coordinate overnight delivery of payroll-related payments.
  • Maintain accurate payroll accounting records and supporting documentation.

Audit & Compliance Support

  • Serve as a primary contact during financial audits.
  • Provide auditors with requested documentation, including invoices, bank statements, canceled checks, reconciliations, and supporting schedules.
  • Prepare audit confirmations and year-end accounting schedules.
  • Process and maintain annual 1099 reporting, including collection of W-9 forms.
  • Prepare annual environmental fee tax reports.
  • Complete and submit property tax filings and payments.
  • Ensure timely payment of secured and unsecured property taxes.

Human Resources & Employee Administration

  • Conduct in-person I-9 verification and onboarding activities when necessary.
  • Review new hire and rehire documentation for completeness and compliance.
  • Monitor onboarding completion and required employee training through HR systems.
  • Maintain I-9 files and employment authorization tracking records.
  • Process lost time forms, verify pay rates, review supporting documentation, and coordinate with organizers regarding missing information.
  • Maintain records of approved lost time forms and related payroll documentation.
  • Verify employee status as new hires or rehires and maintain related tracking spreadsheets.

Benefits Administration

  • Process health and welfare benefit payments, including COBRA-related payments.
  • Coordinate with employees, organizers, and benefit providers to ensure timely payment and enrollment processing.
  • Respond to benefit-related inquiries and route requests to appropriate personnel.

Telecommunications & Administrative Support

  • Perform monthly cell phone account reconciliations and expense allocations.
  • Create and maintain accounting class accounts as requested.
  • Maintain and distribute updated class account listings.
  • Distribute government notices and correspondence to appropriate departments and personnel.

Other Duties

  • Perform additional accounting, payroll, compliance, and administrative duties as assigned.
  • Support organizational operations by responding to urgent financial and personnel-related requests.

Qualifications

Required

  • Associate's degree in Accounting, Finance, Business Administration, or related field, or equivalent experience.
  • Minimum 3-5 years of accounting, accounts payable, payroll, or bookkeeping experience.
  • Experience with QuickBooks or comparable accounting software.
  • Strong knowledge of accounts payable, bank reconciliations, general ledger accounting, and payroll processing.
  • Proficiency in Microsoft Excel and Microsoft Office applications.
  • Ability to manage multiple priorities and meet strict deadlines.
  • Strong attention to detail and organizational skills.
  • Excellent written and verbal communication skills.

Preferred

  • Experience supporting audits and annual financial reporting.
  • Knowledge of payroll regulations, I-9 compliance, and employee onboarding processes.
  • Experience with BambooHR, Paychex, or similar HR/payroll systems.
  • Experience working in a nonprofit, labor organization, or multi-location environment.

Key Competencies

  • Financial Accuracy and Analysis
  • Time Management and Prioritization
  • Confidentiality and Professional Judgment
  • Problem Solving
  • Customer Service
  • Compliance and Regulatory Knowledge
  • Organization and Recordkeeping
  • Team Collaboration