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Reconciliation Associate Jobs in Utah (NOW HIRING)

Reconcile accounts and reports * Enter journal entries * Process and print financials and other ... Associate's degree in Accounting, Finance, or Business; and/or six months of related experience and ...

$15.16/hr

The Support Associate is responsible for supporting a customer and product-focused sales culture ... Correctly enters all receiving documents into the computer system, reconciles merchandise invoices ...

$15.16/hr

The Support Associate is responsible for supporting a customer and product-focused sales culture ... Correctly enters all receiving documents into the computer system, reconciles merchandise invoices ...

The Support Associate is responsible for supporting a customer and product-focused sales culture ... Correctly enters all receiving documents into the computer system, reconciles merchandise invoices ...

Description CenCore is seeking an entry-level Finance / FP&A Associate to support budgeting ... Compile, validate, and reconcile financial and operational data from multiple systems. * Assist ...

Guest Services Associate

Saint George, UT · On-site

$14 - $17/hr

Guest Services Associate Front Office Reports To: Front Desk Manager FLSA Status: Non-Exempt ... Reconciles rentals for the previous month * Checks online travel agents for rental inbounds * Makes ...

Guest Services Associate

Saint George, UT · On-site

$14 - $17/hr

Guest Services Associate Front Office Reports To: Front Desk Manager FLSA Status: Non-Exempt ... Reconciles rentals for the previous month * Checks online travel agents for rental inbounds * Makes ...

Guest Services Associate

Saint George, UT · On-site

$14 - $17/hr

Guest Services Associate Front Office Reports To: Front Desk Manager FLSA Status: Non-Exempt ... Reconciles rentals for the previous month * Checks online travel agents for rental inbounds * Makes ...

Generate donor and gift reports, as assigned. * Assist with reconciliation of CRM (Salesforce ... The Development Associate salary range is $62,000-$80,000 based on experience. Demonstrated ...

HIM Associate

Murray, UT · On-site

$17.60 - $25.25/hr

Retrieve charts from all patient care areas and perform chart check-in, reconciliation, and ... Our associates are given the chance to contribute, think boldly and create meaningful work that ...

HIM Associate

Murray, UT · On-site

$17.60 - $25.25/hr

Retrieve charts from all patient care areas and perform chart check-in, reconciliation, and ... Our associates are given the chance to contribute, think boldly and create meaningful work that ...

$17.13 - $21.40/hr

The Support Associate is responsible for supporting a customer and product-focused sales culture ... Correctly enters all receiving documents into the computer system, reconciles merchandise invoices ...

$17.13 - $21.40/hr

The Support Associate is responsible for supporting a customer and product-focused sales culture ... Correctly enters all receiving documents into the computer system, reconciles merchandise invoices ...

Showing results 21-40

Reconciliation Associate information

See Utah salary details

$9

$18

$30

How much do reconciliation associate jobs pay per hour?

As of Sep 6, 2026, the average hourly pay for reconciliation associate in Utah is $18.09, according to ZipRecruiter salary data. Most workers in this role earn between $13.56 and $18.80 per hour, depending on experience, location, and employer.

What is a reconciliation associate?

A Reconciliation Associate is a finance professional responsible for ensuring the accuracy and consistency of financial records by comparing internal records with external statements, such as bank statements or client accounts. Their main duties include identifying discrepancies, investigating the root causes of mismatches, and resolving issues to maintain accurate financial data. Reconciliation Associates play a crucial role in preventing errors, detecting fraud, and ensuring regulatory compliance within organizations. This position often requires strong analytical skills, attention to detail, and familiarity with accounting or financial software.

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

To thrive as a Reconciliation Associate, you need strong analytical abilities, attention to detail, and a background in finance or accounting, often supported by a relevant degree or equivalent experience. Familiarity with reconciliation software, spreadsheets (especially Excel), and financial management systems such as SAP or Oracle is typically required. Effective communication, organizational skills, and problem-solving abilities help individuals excel in identifying and resolving discrepancies. These skills and qualities are crucial for ensuring accurate financial records, maintaining compliance, and supporting efficient financial operations.

What are some common challenges reconciliation associates face in managing high-volume transactions, and how can they be addressed?

Reconciliation Associates often handle large volumes of complex financial transactions, which can lead to challenges such as identifying and resolving discrepancies efficiently, meeting tight deadlines, and maintaining data accuracy. These challenges can be addressed by developing strong attention to detail, leveraging automated reconciliation tools, and maintaining clear communication with internal teams and external partners. Proactively documenting processes and consistently updating reconciliation procedures also helps minimize errors and improves efficiency in this fast-paced role.

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

Reconciliation AssociateAccounts Payable Clerk
Focuses on reconciling accounts, verifying transactions, and ensuring accuracy of financial dataHandles invoice processing, payment scheduling, and managing outgoing payments
Requires knowledge of accounting principles, spreadsheets, and financial softwareRequires understanding of invoicing, vendor management, and payment systems
Typically works in finance or accounting departments within various industriesWorks mainly in accounts payable or finance teams, often in corporate or retail sectors

While both roles are part of the finance department, a Reconciliation Associate primarily verifies and balances accounts, whereas an Accounts Payable Clerk manages outgoing payments and vendor invoices. Both positions require strong attention to detail and familiarity with financial software, but their core responsibilities differ in focus and daily tasks.

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

The most popular types of Reconciliation jobs in Utah are:

What are popular job titles related to Reconciliation Associate jobs in Utah?

For Reconciliation Associate jobs in Utah, the most frequently searched job titles are:

What job categories do people searching Reconciliation Associate jobs in Utah look for?

The top searched job categories for Reconciliation Associate jobs in Utah are:

What cities in Utah are hiring for Reconciliation Associate jobs?

Cities in Utah with the most Reconciliation Associate job openings:

Infographic showing various Reconciliation Associate job openings in Utah as of August 2026, with employment types broken down into 1% As Needed, 71% Full Time, 26% Part Time, 1% Temporary, and 1% Contract. Highlights an 96% Physical, 1% Hybrid, and 3% Remote job distribution, with an average salary of $37,623 per year, or $18.1 per hour.

Asset & Wealth Management - Salt Lake City - Senior Associate, Client Services - Operations - 101...

Goldman Sachs

Salt Lake City, UT • On-site

Full-time

Re-posted 8 days ago


Goldman Sachs rating

7.8

Company rating: 7.8 out of 10

Based on 28 frontline employees who took The Breakroom Quiz

89th of 175 rated banks


Job description

Job Duties: Senior Associate, Client Services - Operations with Goldman Sachs & Co. LLC in Salt Lake City, Utah. Holistic ownership and understanding of client accounts from a Goldman Sachs Asset & Wealth Management Operations perspective by coordinating client issues across all operations teams supporting Retail Separately Managed Accounts. Act as a point of contact for Asset & Wealth Management Operations. Assess existing processes and provide functional inputs to improve workflows to support business scale, while ensuring progress on ongoing project deliverables. Ensure accounting data accuracy and provide oversight in order to create controlled environment for investment management process. Support the team of Portfolio Administrators in ensuring integrity of internal books and records. Coordinate and track tasks across a multi-disciplined team (e.g. Engineering, Portfolio Management, Business Intelligence) to ensure all operational information relating to an account event is received and systems are set up prior to account trading activity. Provide timely trading desk support inclusive of cash management, position levels and other ad-hoc queries as well as ongoing business initiatives. Proactively review indicators of operational issues/concerns with the goal of resolving such issues before client impact. Engage with cross functional teams to drive and push tactical and strategic solutions. Review account level metrics (i.e. reconciling items on cash/position/tax lot reconciliations, corporate actions, failing trades and standard/non-standard exception management) as defined by operating standards and research, escalate, remediate exceptions as appropriate. Provide effective thought leadership in navigating day-to-day Operational support concerns and supporting broad initiatives of New System/Workflow rollouts and/or New Investment Product Launches. Scalability analysis of workflow cost drivers and trends to help drive process improvements and efficiency, budgeting and cost allocation to various revenue producing desks using automation tools and engineering builds.

Job Requirements: Master's degree (U.S. or foreign equivalent) in Business Administration, Management Information Systems, Finance, Business Analytics or a related field and one (1) year of experience in job offered or a related role OR Bachelor's degree (U.S. or foreign equivalent) in Business Administration, Management Information Systems, Finance, Business Analytics or a related field and three (3) year of experience in job offered or a related role. Prior work experience must include one (1) year of experience (with a Master's) or three (3) years of experience (with a Bachelor's) with each of the following: extracting client investment data and running financial analysis across multiple systems, applying appropriate analytical methods to identify key drivers, validate results, and maintain financial ledger accuracy; managing timesensitive projects with consistent delivery quality, track requirements, document progress, and ensure adherence to established deliverable timelines; identifying and implementing work automation opportunities using low code platforms (such as Alteryx, Tableau, SQL etc.) to reduce manual processes and mitigate operational risk; identify and evaluate opportunities to improve efficiency and streamline operational workflows, and building ETL (Extract, Transform, Load) data flows to ingest data into data visualization tools (Excel, Tableau etc.); utilize MS Office tools, including Outlook, to effectively communicate and manage Portfolio Management/Sales queries; ensure execution of supervisory controls and accurate completion of CloseofDay processes, conducting detailed reviews of workflows completion, reconciliation outputs, and riskbased scenarios to maintain process integrity; and triaging live portfolio administration and trade support scenarios ensuring accurate and timely middleoffice processing.

The Goldman Sachs Group, Inc., 2026. All rights reserved. Goldman Sachs is an equal opportunity employer and does not discriminate on the basis of race, color, religion, sex, national origin, age, veteran status, disability, or any other characteristic protected by applicable law.


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About Goldman Sachs

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At Goldman Sachs, we commit our people, capital and ideas to help our clients, shareholders and the communities we serve to grow. Founded in 1869, we are a leading global investment banking, securities and investment management firm. Headquartered in New York, we maintain offices around the world. We believe who you are makes you better at what you do. We're committed to fostering and advancing diversity and inclusion in our own workplace and beyond by ensuring every individual within our firm has a number of opportunities to grow professionally and personally, from our training and development opportunities and firmwide networks to benefits, wellness and personal finance offerings and mindfulness programs.

Industry

Finance and insurance

Company size

10,000+ Employees

Headquarters location

New York, NY, US

Year founded

1869