Reconciliation Clerk
Houston, TX · On-site
Accurately complete routine reconciliation process of the Barri products and be compliant with regulatory and company guideline Is this for you? Here are some specifics: • Reconcile operational ...
Houston, TX · On-site
Accurately complete routine reconciliation process of the Barri products and be compliant with regulatory and company guideline Is this for you? Here are some specifics: • Reconcile operational ...
Houston, TX · On-site
Accurately complete routine reconciliation process of the Barri products and be compliant with regulatory and company guideline Is this for you? Here are some specifics: • Reconcile operational ...
Accurately complete routine reconciliation process of the Barri products and be compliant with regulatory and company guideline Is this for you? Here are some specifics: · Reconcile operational ...
Quick apply
Accurately complete routine reconciliation process of the Barri products and be compliant with regulatory and company guideline Is this for you? Here are some specifics: · Reconcile operational ...
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Houston, TX · On-site
$70K - $85K/yr
Performs professional accounting work responsible for a major business area. · Maintains the accounting of a major business area, including table maintenance, submission, reconciliation of data feed ...
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Be Seen First
Houston, TX · On-site
$70K - $85K/yr
Performs professional accounting work responsible for a major business area. · Maintains the accounting of a major business area, including table maintenance, submission, reconciliation of data feed ...
Reconcile customer accounts by comparing data across multiple systems. * Partner with Collections, Billing, Operations, and other internal teams to resolve AR issues. * Analyze customer payment ...
Reconcile customer accounts by comparing data across multiple systems. * Partner with Collections, Billing, Operations, and other internal teams to resolve AR issues. * Analyze customer payment ...
Spring, TX · On-site
$18 - $23.75/hr
Reconcile customer accounts by comparing data across multiple systems. * Partner with Collections, Billing, Operations, and other internal teams to resolve AR issues. * Analyze customer payment ...
Spring, TX · On-site
$18 - $23.75/hr
Reconcile customer accounts by comparing data across multiple systems. * Partner with Collections, Billing, Operations, and other internal teams to resolve AR issues. * Analyze customer payment ...
$30 - $32/hr
Research reconciliation issues and identify resolutions * Provide guidance to offshore team and field locations * Examines a variety of accounting documents for accuracy and completeness * Ensures ...
$30 - $32/hr
Research reconciliation issues and identify resolutions * Provide guidance to offshore team and field locations * Examines a variety of accounting documents for accuracy and completeness * Ensures ...
Job Duties 1. Inventory reconciliation oversight - Support the department Supervisor by overseeing volume reconciliations prepared by terminal inventory analysts, ensuring all refined fuels ...
Job Duties 1. Inventory reconciliation oversight - Support the department Supervisor by overseeing volume reconciliations prepared by terminal inventory analysts, ensuring all refined fuels ...
Houston, TX · On-site
We are seeking a Manager, General Accounting to strengthen Fervo's general ledger, monthly close, cash and bank reconciliation, prepaids, accruals, intercompany, allocations, consolidations, and ...
Houston, TX · On-site
We are seeking a Manager, General Accounting to strengthen Fervo's general ledger, monthly close, cash and bank reconciliation, prepaids, accruals, intercompany, allocations, consolidations, and ...
We are seeking a Manager, General Accounting to strengthen Fervo's general ledger, monthly close, cash and bank reconciliation, prepaids, accruals, intercompany, allocations, consolidations, and ...
We are seeking a Manager, General Accounting to strengthen Fervo's general ledger, monthly close, cash and bank reconciliation, prepaids, accruals, intercompany, allocations, consolidations, and ...
Houston, TX · On-site
$52K - $69K/yr
Financial transparency, commission reconciliation, trust accounting, and monthly reporting have been identified as strategic priorities for the organization. About Benchmark Insurance Group Benchmark ...
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Houston, TX · On-site
$52K - $69K/yr
Financial transparency, commission reconciliation, trust accounting, and monthly reporting have been identified as strategic priorities for the organization. About Benchmark Insurance Group Benchmark ...
$66K - $81K/yr
Reconcile monthly bank accounts * Prepare and post journal entries * Work alongside payroll for wire releases and posting journal entries * Reconcile the general ledger and trial balance accounts
$66K - $81K/yr
Reconcile monthly bank accounts * Prepare and post journal entries * Work alongside payroll for wire releases and posting journal entries * Reconcile the general ledger and trial balance accounts
$65K - $75K/yr
Hands-on role supporting month-end close, reconciliations, fixed assets, and intercompany accounting * Opportunity to work closely with accounting leadership and gain broad corporate accounting ...
$65K - $75K/yr
Hands-on role supporting month-end close, reconciliations, fixed assets, and intercompany accounting * Opportunity to work closely with accounting leadership and gain broad corporate accounting ...
$65K - $75K/yr
Hands-on role supporting month-end close, reconciliations, fixed assets, and intercompany accounting * Opportunity to work closely with accounting leadership and gain broad corporate accounting ...
$65K - $75K/yr
Hands-on role supporting month-end close, reconciliations, fixed assets, and intercompany accounting * Opportunity to work closely with accounting leadership and gain broad corporate accounting ...
Houston, TX · On-site
$66K - $81K/yr
Reconcile monthly bank accounts * Prepare and post journal entries * Work alongside payroll for wire releases and posting journal entries * Reconcile the general ledger and trial balance accounts
Houston, TX · On-site
$66K - $81K/yr
Reconcile monthly bank accounts * Prepare and post journal entries * Work alongside payroll for wire releases and posting journal entries * Reconcile the general ledger and trial balance accounts
Houston, TX · On-site
$52K - $69K/yr
Reconcile bank accounts monthly * Post ZBA entries and balance ZBA clearing account daily. * Prepare daily cash summary and updated forecast report for CFO and FPA. * Process AP bills and payments ...
Houston, TX · On-site
$52K - $69K/yr
Reconcile bank accounts monthly * Post ZBA entries and balance ZBA clearing account daily. * Prepare daily cash summary and updated forecast report for CFO and FPA. * Process AP bills and payments ...
Houston, TX · On-site
$52K - $69K/yr
Reconcile bank accounts monthly * Post ZBA entries and balance ZBA clearing account daily. * Prepare daily cash summary and updated forecast report for CFO and FPA. * Process AP bills and payments ...
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Houston, TX · On-site
$52K - $69K/yr
Reconcile bank accounts monthly * Post ZBA entries and balance ZBA clearing account daily. * Prepare daily cash summary and updated forecast report for CFO and FPA. * Process AP bills and payments ...
Houston, TX · On-site
$57K - $75K/yr
Perform distribution reconciliations to distribution exhibits, ensuring distributions align with monthly and quarterly distribution announcements and approved book entries * Review of banking ...
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Houston, TX · On-site
$57K - $75K/yr
Perform distribution reconciliations to distribution exhibits, ensuring distributions align with monthly and quarterly distribution announcements and approved book entries * Review of banking ...
Houston, TX · On-site
$100K - $150K/yr
... reconciliations, analysis, and reporting.
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Houston, TX · On-site
$100K - $150K/yr
... reconciliations, analysis, and reporting.
$17.75 - $22.75/hr
The Accountant will be responsible for daily cash accounting, monthly bank reconciliations, credit card coding, weekly per diem reconciliations, maintaining detailed balance sheet reconciliations and ...
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$17.75 - $22.75/hr
The Accountant will be responsible for daily cash accounting, monthly bank reconciliations, credit card coding, weekly per diem reconciliations, maintaining detailed balance sheet reconciliations and ...
Your primary responsibility will be to reconcile and apply payments received from customers, ensuring they are accurately recorded in the financial system. This role involves collaboration with ...
New
Your primary responsibility will be to reconcile and apply payments received from customers, ensuring they are accurately recorded in the financial system. This role involves collaboration with ...
New
$13.26 - $14.80
9% of jobs
$14.80 - $16.34
8% of jobs
$17.13 is the 25th percentile. Wages below this are outliers.
$16.34 - $17.87
17% of jobs
The median wage is $19.36 / hr.
$17.87 - $19.41
17% of jobs
$19.41 - $20.94
12% of jobs
$20.94 - $22.48
9% of jobs
$23.44 is the 75th percentile. Wages above this are outliers.
$22.48 - $24.02
6% of jobs
$24.02 - $25.55
6% of jobs
$25.55 - $27.09
5% of jobs
$27.09 - $28.63
4% of jobs
$28.63 - $30.16
6% of jobs
$13
$21
$30
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.
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.
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.

Full-time
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