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Reconciliation Assistant Jobs in Washington (NOW HIRING)

Budget Analyst

Washington, DC · On-site

$70K - $80K/yr

Review financial information for accuracy, completeness, consistency, and reconciliation. * Assist with identifying variances, funding issues, and resource requirements. * Support Senior Budget ...

Prepare and post journal entries and account reconciliations. * Assist with month-end and year-end close processes. * Maintain general ledger accuracy and ensure proper documentation of transactions.

Corporate Accountant

Bethesda, MD · On-site

$75 - $115/hr

Perform intercompany accounting and reconciliations * Assist with financial reporting and internal management reporting * Support entity-level analysis across development and operating structures

Perform intercompany accounting and reconciliations * Assist with financial reporting and internal management reporting * Support entity-level analysis across development and operating structures

Staff Accountant

Washington, DC · On-site

$60K - $80K/yr

Prepare and post journal entries, maintain the general ledger, and perform monthly balance sheet reconciliations. * Assist with month-end and year-end close activities, ensuring accurate and timely ...

Staff Accountant

Reston, VA · On-site

$60K - $75K/yr

Manage fixed asset accounting by maintaining accurate records, calculating depreciation, and completing related account reconciliations. * Assist with the preparation of budgets, financial forecasts ...

Support monthly close activities including journal entries and account reconciliations * Assist with audit preparation, including gathering supporting documentation and responding to auditor requests

LPN

Annapolis, MD · On-site

$31/hr

Conduct resident medication reconciliation. * Assist in planning the nursing services portion of the resident's discharge plan. * Complete accident and incident reports, as necessary. * Complete and ...

Associate Accountant

Washington, DC · On-site

$50 - $70/hr

You will assist with bookkeeping, reconciliations, accounts payable, accounts receivable, expense tracking, month‑end close, and financial reporting. You will work closely with the finance team to ...

Support monthly close activities including journal entries and account reconciliations * Assist with audit preparation, including gathering supporting documentation and responding to auditor requests

The Travel Assistant will provide travel administration and traveler support for domestic and ... Reconcile centrally billed travel expenses with travel authorizations, vouchers, invoices, and ...

Retail Associate, Fox Den

Washington, DC · On-site

$17.25 - $19.75/hr

Support opening and closing procedures, including daily deposits and reconciliation. * Assist with inventory counts and protect store assets with integrity. Team Collaboration & Engagement * Partner ...

Retail Associate, Fox Den

Washington, DC · On-site

$17.25 - $19.75/hr

Support opening and closing procedures, including daily deposits and reconciliation. * Assist with inventory counts and protect store assets with integrity. Team Collaboration & Engagement * Partner ...

Support invoice reviews, payments, and reconciliation. * Assist with subcontract closeouts and ensuring compliance with company and government policies. * Collaborate with technical teams, accounting ...

Senior Staff Accountant

Washington, DC · On-site

$70K - $85K/yr

Prepare journal entries and account reconciliations * Assist with the monthly and year-end close processes * Prepare financial reports and supporting schedules * Review accounts and investigate ...

Showing results 21-40

Reconciliation Assistant information

What is a reconciliation assistant?

Reconciliation Assistants are professionals who support the financial reconciliation process within an organization. Their primary role involves comparing internal financial records with external statements, such as bank statements or vendor invoices, to identify and resolve discrepancies. They help ensure the accuracy of financial data, assist with audits, and maintain compliance with accounting standards. Reconciliation Assistants often use accounting software and spreadsheets to track transactions and communicate with other departments to clarify any mismatches.

What skills and qualifications are needed to be a reconciliation assistant?

To thrive as a Reconciliation Assistant, you generally need strong numerical aptitude, attention to detail, and a background in finance or accounting, often supported by relevant qualifications such as an associate's degree or bookkeeping certification. Familiarity with reconciliation software, spreadsheets like Microsoft Excel, and accounting systems such as SAP or QuickBooks is typically required. Strong organizational skills, problem-solving abilities, and effective communication set standout candidates apart in this role. These skills and qualities are essential for ensuring accurate financial records, detecting discrepancies, and supporting smooth financial operations.

What challenges do reconciliation assistants face and how can they be managed?

Reconciliation Assistants often face challenges such as dealing with large volumes of financial data, identifying discrepancies quickly, and meeting tight reporting deadlines. To manage these effectively, attention to detail and strong organizational skills are crucial. Utilizing reconciliation software, maintaining clear communication with other finance team members, and establishing consistent processes can help minimize errors and improve efficiency. Proactively addressing discrepancies and escalating unresolved issues also ensures smooth operations and supports overall financial accuracy.

Is reconciliation a good career?

Reconciliation is a common role in finance and accounting that involves verifying financial records and ensuring accuracy between accounts. It requires attention to detail, proficiency with accounting software, and often a basic understanding of financial regulations. The job can offer stable employment and opportunities for advancement in finance departments.

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

The most popular types of Reconciliation jobs in Washington are:

What are popular job titles related to Reconciliation Assistant jobs in Washington?

For Reconciliation Assistant jobs in Washington, the most frequently searched job titles are:

What job categories do people searching Reconciliation Assistant jobs in Washington look for?

The top searched job categories for Reconciliation Assistant jobs in Washington are:

What cities in Washington are hiring for Reconciliation Assistant jobs?

Cities in Washington with the most Reconciliation Assistant job openings:

Infographic showing various Reconciliation Assistant job openings in Washington as of August 2026, with employment types broken down into 1% As Needed, 73% Full Time, 23% Part Time, 1% Temporary, and 2% Contract. Highlights an 98% Physical, 1% Hybrid, and 1% Remote job distribution.

Systems Analyst (System/Data Analysis & Conversion) - Richmond, VA (Hybrid)

Yakshna Solutions, Inc.

Herndon, VA • On-site

$100 - $110/hr

Other

Medical, Dental, Vision, Life, Retirement, PTO

Posted 5 days ago


Job description

Open Jobs

Mar 30 2026

798514 Systems Analyst (System/Data Analysis & Conversion)

Yakshna Solutions, Inc., (YSI) is a CMMI Level 3 assessed, ISO 9001, 20000:1, 27001 certified, woman‑owned small business enterprises, headquartered in Herndon, Virginia, USA. YSI provides professional IT solutions and services to business corporations and government organizations. YSI is committed to serve its business communities as a leading IT vendor providing innovative, quality, and cost‑effective IT business solutions and services.

YSI offers a competitive benefits package that includes the following: 401(k), health, dental, and vision insurance, Life insurance, short‑term and long‑term disability insurance, paid time off, training and professional development assistance.

Dept of Medical Assistance Services (DMAS) is seeking a highly skilled Systems Analyst with strong technical and analytical expertise in healthcare claims processing and comprehensive knowledge of data across all functional areas of the Medicaid Management Information System (MMIS) or similar large‑scale claims processing systems.

Job Responsibilities
  • Lead end to end FAS data conversion strategy, including mapping, transformation logic, and reconciliation.
  • Direct data validation cycles and resolve complex data anomalies to ensure accuracy and completeness of converted Member, Claims, and Finance data.
  • Manage mock conversion cycles and coordinate with technical and business teams to ensure readiness for migration.
  • Oversee data quality assessments and ensure converted data meets business, audit, and regulatory standards.
  • Develop and document conversion crosswalks and migration procedures for transitioning legacy data into FAS.
  • Partner with technical architects to optimize conversion performance, minimize downtime, and support a smooth cutover.
  • Provide governance oversight on system design decisions to ensure alignment with architectural standards and operational readiness requirements.
  • Perform data analysis related to data conversion from legacy systems to new platforms, including validation of mapping rules, data integrity checks, and reconciliation.
  • Assist in defining and executing data validation strategies to ensure accuracy and completeness during migration efforts.
  • Analyze large datasets to identify discrepancies, trends, and anomalies during conversion and testing phases.
  • Develop SQL/Teradata queries for data validation, reconciliation, and reporting.
  • Document data conversion rules, transformation logic, and validation results to support audit and compliance requirements.
  • Work closely with ETL developers and business teams to ensure data quality and consistency across systems.
  • Develop and execute the overall Test Strategy, including System Integration Testing (SIT), User Acceptance Testing (UAT), and End to End (E2E) testing for MMIS and MES modules.
  • Test Commercial Off the Shelf (COTS) applications and support data conversion and integration across MES modules and COTS products.
  • Create and support the development of Business Test Scenarios, Test Cases, and Test Data; assist with test execution activities.
  • Support ongoing releases, system enhancements, and production defect resolution.
  • Manage defect triage calls with multiple vendors and ensure accurate tracking and timely closure of defects.
  • Communicate UAT status, progress metrics, and results to stakeholders; maintain comprehensive historical testing documentation.
  • Collaborate effectively with technical teams, business users, and cross functional groups with minimal supervision.
Required skills and experience
  • Proven Agile Testing experience, with the ability to plan and execute functional, integration, and regression testing within iterative sprint cycles.
  • Data Analysis: Strong experience in data conversion, mapping rules, validation, ETL design, and programming logic.
  • Proficiency in Teradata, including query development.
  • Experience with Mainframe and DB2 testing preferred.
  • Test Management Tools: Extensive experience with Azure DevOps or similar platforms for planning, tracking, and executing test activities.
  • Defect Management: Strong experience leading UAT and defect triage across multiple systems/vendors.
  • Problem Solving: Strong debugging ability and experience acting as a liaison between developers and business users.
  • Excellent organizational and communication skills, with the ability to meet deadlines professionally and with strong customer focus.

$100K-110k/A with benefits

US Citizenship or Green card holder only

YSI is an Equal Opportunity Employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, pregnancy, sexual orientation, gender identity, national origin, age, protected veteran status, or disability status.

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