As we continue to grow, we're looking for a Transaction & Reconciliation Specialist who thrives on accuracy, accountability, and supporting operational success. In this role, you'll serve as a key ...
As we continue to grow, we're looking for a Transaction & Reconciliation Specialist who thrives on accuracy, accountability, and supporting operational success. In this role, you'll serve as a key ...
Transaction & Reconciliation Specialist
Portland, OR · On-site
$23 - $27/hr
As we continue to grow, we're looking for a Transaction & Reconciliation Specialist who thrives on accuracy, accountability, and supporting operational success. In this role, you'll serve as a key ...
Quick apply
Transaction & Reconciliation Specialist
Portland, OR · On-site
$23 - $27/hr
As we continue to grow, we're looking for a Transaction & Reconciliation Specialist who thrives on accuracy, accountability, and supporting operational success. In this role, you'll serve as a key ...
As we continue to grow, we're looking for a Transaction & Reconciliation Specialist who thrives on accuracy, accountability, and supporting operational success. In this role, you'll serve as a key ...
As we continue to grow, we're looking for a Transaction & Reconciliation Specialist who thrives on accuracy, accountability, and supporting operational success. In this role, you'll serve as a key ...
Our core services include HTS classification, duty drawback, reconciliation, compliance assessments, duty recovery, and C-TPAT/supply chain security implementation. At Tradewin, we don't just ensure ...
Our core services include HTS classification, duty drawback, reconciliation, compliance assessments, duty recovery, and C-TPAT/supply chain security implementation. At Tradewin, we don't just ensure ...
Our core services include HTS classification, duty drawback, reconciliation, compliance assessments, duty recovery, and C-TPAT/supply chain security implementation. At Tradewin, we don't just ensure ...
Our core services include HTS classification, duty drawback, reconciliation, compliance assessments, duty recovery, and C-TPAT/supply chain security implementation. At Tradewin, we don't just ensure ...
Reconciliations Specialist
$18.19 - $27/hr
Facilitates daily reconciliations and prepares monthly financial certifications for key general ledger accounts associated with electronic transaction settlements and internal deposit operations.
Reconciliations Specialist
$18.19 - $27/hr
Facilitates daily reconciliations and prepares monthly financial certifications for key general ledger accounts associated with electronic transaction settlements and internal deposit operations.
Reconciliations Specialist
$18.19 - $27/hr
Facilitates daily reconciliations and prepares monthly financial certifications for key general ledger accounts associated with electronic transaction settlements and internal deposit operations.
Reconciliations Specialist
$18.19 - $27/hr
Facilitates daily reconciliations and prepares monthly financial certifications for key general ledger accounts associated with electronic transaction settlements and internal deposit operations.
Staff Accountant - PT
Portland, OR · On-site
$23 - $25/hr
The Staff Accountant will manage bank reconciliations, journal entries, and general ledger activities to provide accurate financial data for decision-making. By performing detailed account ...
Staff Accountant - PT
Portland, OR · On-site
$23 - $25/hr
The Staff Accountant will manage bank reconciliations, journal entries, and general ledger activities to provide accurate financial data for decision-making. By performing detailed account ...
Design OD to SAP reconciliation processes and reports to reconcile data with financial impact between OD and SAP (specifically sales, inventory reconciliation from a financial perspective). * Provide ...
Design OD to SAP reconciliation processes and reports to reconcile data with financial impact between OD and SAP (specifically sales, inventory reconciliation from a financial perspective). * Provide ...
Senior Accounting Specialist
Vancouver, WA · On-site
$33.50/hr
We are looking for someone with strong QBO experience who understands balance sheet reconciliations, adjusting journal entries (AJEs), financial controls, and accounting best practices. Experience ...
Senior Accounting Specialist
Vancouver, WA · On-site
$33.50/hr
We are looking for someone with strong QBO experience who understands balance sheet reconciliations, adjusting journal entries (AJEs), financial controls, and accounting best practices. Experience ...
Payroll Accountant
Portland, OR · On-site
Job Summary We are seeking an experienced Payroll Accountant to own payroll-related journal entries, account reconciliations, and month/quarter/year-end close in a complex, multi-entity environment.
Payroll Accountant
Portland, OR · On-site
Job Summary We are seeking an experienced Payroll Accountant to own payroll-related journal entries, account reconciliations, and month/quarter/year-end close in a complex, multi-entity environment.
Accounting Assistant (Part-Time)
Portland, OR · On-site
$24/hr
This role will focus primarily on reconciling employee expense reports and assisting with the collection and reconciliation of outstanding Accounts Receivable (AR). The ideal candidate is dependable ...
Accounting Assistant (Part-Time)
Portland, OR · On-site
$24/hr
This role will focus primarily on reconciling employee expense reports and assisting with the collection and reconciliation of outstanding Accounts Receivable (AR). The ideal candidate is dependable ...
Staff Accountant
Vancouver, WA · On-site
$60K - $80K/yr
Reconcile grant and contract revenue, expenses, receivables, and funding balances. * Maintain documentation necessary to support grant and contract expenditures. * Assist with contract and grant ...
Staff Accountant
Vancouver, WA · On-site
$60K - $80K/yr
Reconcile grant and contract revenue, expenses, receivables, and funding balances. * Maintain documentation necessary to support grant and contract expenditures. * Assist with contract and grant ...
Staff Accountant
$59K - $79K/yr
Reconcile vendor statements, customer accounts, bank activity, credit card transactions, and other balance sheet accounts; research and resolve discrepancies promptly. * Support month-end and year ...
Staff Accountant
$59K - $79K/yr
Reconcile vendor statements, customer accounts, bank activity, credit card transactions, and other balance sheet accounts; research and resolve discrepancies promptly. * Support month-end and year ...
We are looking for someone with strong QBO experience who understands balance sheet reconciliations, adjusting journal entries (AJEs), financial controls, and accounting best practices. Experience ...
Quick apply
We are looking for someone with strong QBO experience who understands balance sheet reconciliations, adjusting journal entries (AJEs), financial controls, and accounting best practices. Experience ...
This role will focus primarily on reconciling employee expense reports and assisting with the collection and reconciliation of outstanding Accounts Receivable (AR). The ideal candidate is dependable ...
This role will focus primarily on reconciling employee expense reports and assisting with the collection and reconciliation of outstanding Accounts Receivable (AR). The ideal candidate is dependable ...
STAFF ACCOUNTANT
Portland, OR · On-site
$58K - $76K/yr
Identifies and resolves invoice, payment, reconciliation, and documentation issues with professionalism and follow-through. * Supports month-end, quarter-end, annual audit, tax, and financial ...
STAFF ACCOUNTANT
Portland, OR · On-site
$58K - $76K/yr
Identifies and resolves invoice, payment, reconciliation, and documentation issues with professionalism and follow-through. * Supports month-end, quarter-end, annual audit, tax, and financial ...
STAFF ACCOUNTANT
$58K - $76K/yr
Identifies and resolves invoice, payment, reconciliation, and documentation issues with professionalism and follow-through. * Supports month-end, quarter-end, annual audit, tax, and financial ...
Quick apply
STAFF ACCOUNTANT
$58K - $76K/yr
Identifies and resolves invoice, payment, reconciliation, and documentation issues with professionalism and follow-through. * Supports month-end, quarter-end, annual audit, tax, and financial ...
Staff Accountant
Hillsboro, OR · Hybrid
$59K - $79K/yr
Reconcile vendor statements, customer accounts, bank activity, credit card transactions, and other balance sheet accounts; research and resolve discrepancies promptly. * Support month-end and year ...
Staff Accountant
Hillsboro, OR · Hybrid
$59K - $79K/yr
Reconcile vendor statements, customer accounts, bank activity, credit card transactions, and other balance sheet accounts; research and resolve discrepancies promptly. * Support month-end and year ...
Senior Accountant
Portland, OR · On-site
$72K - $80K/yr
Reconciling bank accounts * Maintaining financial reports, records, and general ledger accounts * Preparing journal entries, analyses, and account reconciliations and assisting with monthly close ...
Senior Accountant
Portland, OR · On-site
$72K - $80K/yr
Reconciling bank accounts * Maintaining financial reports, records, and general ledger accounts * Preparing journal entries, analyses, and account reconciliations and assisting with monthly close ...
Reconciliation information
See Portland, OR salary details
$15.81 - $17.64
9% of jobs
$17.64 - $19.47
8% of jobs
$20.41 is the 25th percentile. Wages below this are outliers.
$19.47 - $21.30
17% of jobs
The median wage is $23.07 / hr.
$21.30 - $23.13
17% of jobs
$23.13 - $24.96
12% of jobs
$24.96 - $26.79
9% of jobs
$27.94 is the 75th percentile. Wages above this are outliers.
$26.79 - $28.62
6% of jobs
$28.62 - $30.45
6% of jobs
$30.45 - $32.28
5% of jobs
$32.28 - $34.11
4% of jobs
$34.11 - $35.95
6% of jobs
$15
$25
$35
How much do reconciliation jobs pay per hour?
What is a reconciliation?
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.
What does a reconciliation do?
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.
What are the key skills and qualifications needed to thrive in the reconciliation position?
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.
What are the most commonly searched types of Reconciliation jobs in Portland, OR?
The most popular types of Reconciliation jobs in Portland, OR are:
What are popular job titles related to Reconciliation jobs in Portland, OR?
For Reconciliation jobs in Portland, OR, the most frequently searched job titles are:
What job categories do people searching Reconciliation jobs in Portland, OR look for?
The top searched job categories for Reconciliation jobs in Portland, OR are:
What cities near Portland, OR are hiring for Reconciliation jobs?
Cities near Portland, OR with the most Reconciliation job openings:

Transaction & Reconciliation Specialist
Portland, OR • On-site
Full-time
Medical, Dental, Vision, Life, Retirement, PTO
Re-posted 8 days ago
Job description
Full-time
Description
Are you an accounting professional who enjoys digging into the details, solving problems, and partnering with operations teams to keep a business running smoothly?
At Gills Point S, we're more than a tire and automotive service company-we're a family-owned organization built on integrity, teamwork, and exceptional customer service. As we continue to grow, we're looking for a Transaction & Reconciliation Specialist who thrives on accuracy, accountability, and supporting operational success.
In this role, you'll serve as a key partner to our service center teams, helping ensure financial transactions are accurate, documented properly, and reflected correctly within our systems. You'll have the opportunity to work across multiple locations, collaborate with leaders throughout the organization, and play an important role in maintaining the financial health of the business.
What You'll Do
- Maintain and reconcile Point of Sale (POS) transactions and financial records for assigned locations
- Review and validate vendor invoices, receipts, and supporting documentation
- Ensure accurate posting of financial transactions into NetSuite
- Investigate and resolve discrepancies, variances, and bookkeeping issues
- Partner with Service Center Managers to improve financial accuracy and compliance
- Support month-end closing activities and financial reporting processes
- Monitor transaction integrity and identify opportunities for process improvement
- Serve as a resource and coach to managers on financial procedures and documentation requirements
Requirements
What We're Looking For
- 2+ years of bookkeeping, accounting, or financial administration experience
- Strong understanding of accounts payable, reconciliations, and financial record management
- Experience working with accounting software and ERP systems
- Intermediate Microsoft Excel skills
- Exceptional attention to detail and organizational skills
- Ability to analyze information, identify discrepancies, and solve problems independently
- Strong communication skills and the ability to build positive working relationships across departments
- Ability to manage multiple priorities and meet deadlines in a fast-paced environment
Bonus Points For
- Experience with NetSuite
- Experience supporting multiple locations or retail/service operations
- Automotive, retail, warehouse, or service industry accounting experience
- Experience coaching or training managers on accounting processes and best practices
Why Join Gills Point S?
- Competitive compensation
- Medical, Dental, Vision, Life, STD & LTD benefits
- 401(k) with company match
- Paid Time Off
- Stable, growing organization
- Opportunities for professional development and career growth
- Supportive team environment where your contributions make a direct impact
If you're looking for a role where you can combine accounting expertise with operational partnership and problem-solving, we'd love to hear from you.
Apply today and help drive the success of Gills Point S.