Project Coordinator
$20 - $24/hr
Project Lead Coordinator- Reconciliation & Inventory Management Location: Chesterton Reports To: Leadership Team About the Role: Our client is seeking a detail-oriented and proactive Project Lead to ...
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$20 - $24/hr
Project Lead Coordinator- Reconciliation & Inventory Management Location: Chesterton Reports To: Leadership Team About the Role: Our client is seeking a detail-oriented and proactive Project Lead to ...
Quick apply
$20 - $24/hr
Project Lead Coordinator- Reconciliation & Inventory Management Location: Chesterton Reports To: Leadership Team About the Role: Our client is seeking a detail-oriented and proactive Project Lead to ...
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Indianapolis, IN · On-site
$40K - $60K/yr
Required qualifications - Proficiency with Quickbooks and Microsoft programs - Experience with bank reconciliation, account reconciliation and general ledger accounting - Strong verbal and written ...
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Be Seen First
Indianapolis, IN · On-site
$40K - $60K/yr
Required qualifications - Proficiency with Quickbooks and Microsoft programs - Experience with bank reconciliation, account reconciliation and general ledger accounting - Strong verbal and written ...
Jeffersonville, IN · Hybrid
$50K - $54K/yr
Prepare inventory-related journal entries and reconcile inventory general ledger accounts. * Maintain fixed asset records, including additions, disposals, depreciation, and monthly reconciliations.
Jeffersonville, IN · Hybrid
$50K - $54K/yr
Prepare inventory-related journal entries and reconcile inventory general ledger accounts. * Maintain fixed asset records, including additions, disposals, depreciation, and monthly reconciliations.
$51K - $68K/yr
Primary Responsibilities · Execution of daily accounting responsibilities including month-end closing, journal entries, and balance sheet reconciliations. · Oversee internal and external AP/AR ...
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$51K - $68K/yr
Primary Responsibilities · Execution of daily accounting responsibilities including month-end closing, journal entries, and balance sheet reconciliations. · Oversee internal and external AP/AR ...
Be Seen First
Indianapolis, IN · On-site
$40K - $60K/yr
Required qualifications - Proficiency with Quickbooks and Microsoft programs - Experience with bank reconciliation, account reconciliation and general ledger accounting - Strong verbal and written ...
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Be Seen First
Indianapolis, IN · On-site
$40K - $60K/yr
Required qualifications - Proficiency with Quickbooks and Microsoft programs - Experience with bank reconciliation, account reconciliation and general ledger accounting - Strong verbal and written ...
Gary, IN · On-site
Perform cash reconciliations, journal entries, account reconciliations, and general ledger maintenance. * Support month-end and year-end close activities and prepare financial reporting schedules.
Gary, IN · On-site
Perform cash reconciliations, journal entries, account reconciliations, and general ledger maintenance. * Support month-end and year-end close activities and prepare financial reporting schedules.
Perform cash reconciliations, journal entries, account reconciliations, and general ledger maintenance. * Support month-end and year-end close activities and prepare financial reporting schedules.
New
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Perform cash reconciliations, journal entries, account reconciliations, and general ledger maintenance. * Support month-end and year-end close activities and prepare financial reporting schedules.
New
South Bend, IN · On-site
$170K - $225K/hr
Balance Sheet Integrity and Reconciliations * Own balance sheet integrity and ensure reconciliations are completed timely, reviewed appropriately, and supported by sufficient documentation.
South Bend, IN · On-site
$170K - $225K/hr
Balance Sheet Integrity and Reconciliations * Own balance sheet integrity and ensure reconciliations are completed timely, reviewed appropriately, and supported by sufficient documentation.
Jeffersonville, IN · On-site
$52K - $69K/yr
Prepare inventory-related journal entries and reconcile inventory general ledger accounts. * Maintain fixed asset records, including additions, disposals, depreciation, and monthly reconciliations.
Jeffersonville, IN · On-site
$52K - $69K/yr
Prepare inventory-related journal entries and reconcile inventory general ledger accounts. * Maintain fixed asset records, including additions, disposals, depreciation, and monthly reconciliations.
Atlanta, IN · On-site
$18.25 - $22.75/hr
Reconcile vendor statements and accounts; obtain missing invoices and investigate unapplied credits, duplicate charges, pricing differences, past-due balances, payment issues, and other exceptions.
Atlanta, IN · On-site
$18.25 - $22.75/hr
Reconcile vendor statements and accounts; obtain missing invoices and investigate unapplied credits, duplicate charges, pricing differences, past-due balances, payment issues, and other exceptions.
Bloomington, IN · On-site
$17.75 - $23/hr
Process and reconcile insurance company payables. Record bi-weekly payroll journal entries. Assist with end-of-month accounting procedures and financial reconciliations. Assist with direct bill ...
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Bloomington, IN · On-site
$17.75 - $23/hr
Process and reconcile insurance company payables. Record bi-weekly payroll journal entries. Assist with end-of-month accounting procedures and financial reconciliations. Assist with direct bill ...
They will be responsible for assisting in the month end close process performing various reconciliations, corporate accounting reports, and inter-company tie-outs. * Perform daily accounting ...
They will be responsible for assisting in the month end close process performing various reconciliations, corporate accounting reports, and inter-company tie-outs. * Perform daily accounting ...
$18.25 - $22.75/hr
Reconcile vendor statements and accounts; obtain missing invoices and investigate unapplied credits, duplicate charges, pricing differences, past-due balances, payment issues, and other exceptions.
$18.25 - $22.75/hr
Reconcile vendor statements and accounts; obtain missing invoices and investigate unapplied credits, duplicate charges, pricing differences, past-due balances, payment issues, and other exceptions.
Indianapolis, IN · On-site
$48K - $63K/yr
Month end reconciliations, including bank reconciliations and various other balance sheet accounts * Tracking government payments from various State and Federal sources * Understanding of tuition ...
Indianapolis, IN · On-site
$48K - $63K/yr
Month end reconciliations, including bank reconciliations and various other balance sheet accounts * Tracking government payments from various State and Federal sources * Understanding of tuition ...
Bloomington, IN · On-site
$17.75 - $23/hr
Perform direct bill commission reconciliations for all Property Casualty policies. * Review daily bank activity and reconcile transactions with AMS360 accounting records. * Process and reconcile ...
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Bloomington, IN · On-site
$17.75 - $23/hr
Perform direct bill commission reconciliations for all Property Casualty policies. * Review daily bank activity and reconcile transactions with AMS360 accounting records. * Process and reconcile ...
Butler, IN · On-site
They will be responsible for assisting in the month end close process performing various reconciliations, corporate accounting reports, and inter-company tie-outs. Responsibilities * Perform daily ...
Butler, IN · On-site
They will be responsible for assisting in the month end close process performing various reconciliations, corporate accounting reports, and inter-company tie-outs. Responsibilities * Perform daily ...
Butler, IN · On-site
They will be responsible for assisting in the month end close process performing various reconciliations, corporate accounting reports, and inter-company tie-outs. Responsibilities * Perform daily ...
Butler, IN · On-site
They will be responsible for assisting in the month end close process performing various reconciliations, corporate accounting reports, and inter-company tie-outs. Responsibilities * Perform daily ...
Fort Wayne, IN · On-site
$170K - $225K/hr
Balance Sheet Integrity and Reconciliations * Own balance sheet integrity and ensure reconciliations are completed timely, reviewed appropriately, and supported by sufficient documentation.
Fort Wayne, IN · On-site
$170K - $225K/hr
Balance Sheet Integrity and Reconciliations * Own balance sheet integrity and ensure reconciliations are completed timely, reviewed appropriately, and supported by sufficient documentation.
Fort Wayne, IN · On-site
$78K - $120K/yr
Reconciliations 1. Oversee preparation of contract balance reports, group home and Community Living audits, cash reconciliations, miscellaneous payroll tracking reports. 2. Reconcile or proof the ...
Fort Wayne, IN · On-site
$78K - $120K/yr
Reconciliations 1. Oversee preparation of contract balance reports, group home and Community Living audits, cash reconciliations, miscellaneous payroll tracking reports. 2. Reconcile or proof the ...
Fort Wayne, IN · Hybrid
Oversee the daily process of account reconciliations and cash balancing within the bank to ensure accuracy and consistency for financial reporting. * Manage team members and key stakeholders in the ...
Fort Wayne, IN · Hybrid
Oversee the daily process of account reconciliations and cash balancing within the bank to ensure accuracy and consistency for financial reporting. * Manage team members and key stakeholders in the ...
$14.18 - $15.82
9% of jobs
$15.82 - $17.47
8% of jobs
$18.31 is the 25th percentile. Wages below this are outliers.
$17.47 - $19.11
17% of jobs
The median wage is $20.70 / hr.
$19.11 - $20.75
17% of jobs
$20.75 - $22.40
12% of jobs
$22.40 - $24.04
9% of jobs
$25.07 is the 75th percentile. Wages above this are outliers.
$24.04 - $25.68
6% of jobs
$25.68 - $27.32
6% of jobs
$27.32 - $28.97
5% of jobs
$28.97 - $30.61
4% of jobs
$30.61 - $32.25
6% of jobs
$14
$22
$32
A Reconciliation job involves reviewing and comparing financial records to ensure accuracy and consistency across accounts. Professionals in this role identify discrepancies, investigate errors, and resolve mismatches between transactions. They work with bank statements, ledgers, invoices, and other financial documents to maintain accurate financial reporting. Reconciliation is crucial for detecting fraud, preventing financial losses, and ensuring compliance with accounting standards. This role is common in banking, accounting, and finance industries.
A typical day in a Reconciliation position involves reviewing and comparing financial records, investigating discrepancies, and ensuring that transactions are accurately recorded across various accounts. You might spend time working with spreadsheets, reconciliation software, and communicating with colleagues in accounting, banking, or operations to resolve issues. The role often requires meeting regular deadlines, especially during month-end or quarter-end reporting periods. Teamwork and clear communication are essential, as you’ll frequently collaborate with others to resolve complex financial discrepancies and maintain data integrity.
To excel in a Reconciliation role, candidates typically need strong attention to detail, analytical thinking, and a solid understanding of accounting or finance principles, often supported by relevant degrees or certifications. Familiarity with reconciliation software such as BlackLine, bank platforms, and enterprise resource planning (ERP) systems like SAP or Oracle is highly valuable. Excellent organizational, problem-solving, and communication skills help individuals investigate discrepancies and collaborate with cross-functional teams. These skills ensure accuracy, compliance, and efficiency in managing financial records and supporting the organization's financial integrity.
The most popular types of Reconciliation jobs in Indiana are:
For Reconciliation jobs in Indiana, the most frequently searched job titles are:
The top searched job categories for Reconciliation jobs in Indiana are:
Cities in Indiana with the most Reconciliation job openings:

$20 - $24/hr
Full-time
Re-posted 2 days ago
Job Title: Project Lead Coordinator– Reconciliation & Inventory Management
Location: Chesterton
Reports To: Leadership Team
About the Role:
Our client is seeking a detail-oriented and proactive Project Lead to oversee the reconciliation of past invoices, manage billing-related inventory, and ensure accurate reporting across internal systems. This role requires a strong background in project coordination, financial tracking, and data management, with the ability to lead teams, provide clear direction, and maintain consistent communication with leadership
.
Key Responsibilities:
Qualifications:
Why Join Our Clients Team:
This client values precision, collaboration, and accountability. This role offers the opportunity to lead meaningful projects that directly impact company performance while working alongside a supportive and results-driven team.