... balance sheet reconciliation. Responsibilities ... Support General Ledger reconciliations and ensure the accuracy of financial records. * Manage and ...
Quick apply
... balance sheet reconciliation. Responsibilities ... Support General Ledger reconciliations and ensure the accuracy of financial records. * Manage and ...
Quick apply
... balance sheet reconciliation. Responsibilities ... Support General Ledger reconciliations and ensure the accuracy of financial records. * Manage and ...
Nashville, TN · Remote
$55K - $75K/yr
You'll own a portfolio of balance sheet accounts, lead the reconciliation process, analyze variances, and partner with internal stakeholders to ensure financial data is complete, supported, and ...
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Nashville, TN · Remote
$55K - $75K/yr
You'll own a portfolio of balance sheet accounts, lead the reconciliation process, analyze variances, and partner with internal stakeholders to ensure financial data is complete, supported, and ...
Brentwood, TN · Remote
$55K - $75K/yr
You'll own a portfolio of balance sheet accounts, lead the reconciliation process, analyze variances, and partner with internal stakeholders to ensure financial data is complete, supported, and ...
Quick apply
Brentwood, TN · Remote
$55K - $75K/yr
You'll own a portfolio of balance sheet accounts, lead the reconciliation process, analyze variances, and partner with internal stakeholders to ensure financial data is complete, supported, and ...
Houston, TX · On-site
$28.50 - $33/hr
This position plays a critical role in ensuring the accuracy and integrity of cash reporting, bank reconciliations, and balance sheet activity across multiple accounts and entities. The ideal ...
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Houston, TX · On-site
$28.50 - $33/hr
This position plays a critical role in ensuring the accuracy and integrity of cash reporting, bank reconciliations, and balance sheet activity across multiple accounts and entities. The ideal ...
House, NM · On-site
Ensure all balance sheet reconciliations are completed accurately and on time, with risks and issues identified and escalated appropriately. Claims Management & Operational Excellence Stabilise ...
House, NM · On-site
Ensure all balance sheet reconciliations are completed accurately and on time, with risks and issues identified and escalated appropriately. Claims Management & Operational Excellence Stabilise ...
Orlando, FL · On-site
Prepare balance sheet reconciliations related to assigned entities. Determine correcting entries for reconciling items * Mentor and support junior staff in reconciliation tasks, fostering a culture ...
Orlando, FL · On-site
Prepare balance sheet reconciliations related to assigned entities. Determine correcting entries for reconciling items * Mentor and support junior staff in reconciliation tasks, fostering a culture ...
Northampton, MA · On-site
$32.70/hr
You'll own the full cycle of balance sheet account reconciliation across the organization -- from monthly prep and variance investigation through journal entry posting and schedule maintenance. This ...
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Northampton, MA · On-site
$32.70/hr
You'll own the full cycle of balance sheet account reconciliation across the organization -- from monthly prep and variance investigation through journal entry posting and schedule maintenance. This ...
Prepare balance sheet reconciliations related to assigned entities. Determine correcting entries for reconciling items * Mentor and support junior staff in reconciliation tasks, fostering a culture ...
Prepare balance sheet reconciliations related to assigned entities. Determine correcting entries for reconciling items * Mentor and support junior staff in reconciliation tasks, fostering a culture ...
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Honeoye Falls, NY · On-site
$75K - $90K/yr
Reviewing and reconciling assigned balance-sheet accounts. * Identifying historical discrepancies and unresolved reconciling items. * Determining what needs to be corrected, written off, reclassified ...
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Be Seen First
Honeoye Falls, NY · On-site
$75K - $90K/yr
Reviewing and reconciling assigned balance-sheet accounts. * Identifying historical discrepancies and unresolved reconciling items. * Determining what needs to be corrected, written off, reclassified ...
Reviewing and reconciling assigned balance-sheet accounts. * Identifying historical discrepancies and unresolved reconciling items. * Determining what needs to be corrected, written off, reclassified ...
Quick apply
Reviewing and reconciling assigned balance-sheet accounts. * Identifying historical discrepancies and unresolved reconciling items. * Determining what needs to be corrected, written off, reclassified ...
Prince George, VA · On-site
$75K/yr
Balance Sheet reconciliation (ex: bank, intercompany, accruals, prepaids, payroll accruals, etc.) * Intercompany coordination and reconciliations * Fluctuation analysis of general ledger activity to ...
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Prince George, VA · On-site
$75K/yr
Balance Sheet reconciliation (ex: bank, intercompany, accruals, prepaids, payroll accruals, etc.) * Intercompany coordination and reconciliations * Fluctuation analysis of general ledger activity to ...
Minneapolis, MN · On-site
$55K - $65K/yr
Perform daily, weekly, and monthly reconciliations of various balance sheet accounts, including bank statements, accounts receivable, and accounts payable. * Compare financial records from different ...
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Minneapolis, MN · On-site
$55K - $65K/yr
Perform daily, weekly, and monthly reconciliations of various balance sheet accounts, including bank statements, accounts receivable, and accounts payable. * Compare financial records from different ...
Balance Sheet Reconciliations * Prepare, review, and maintain assigned balance sheet reconciliations in accordance with Bank policy. * Ensure reconciliations are completed accurately and within ...
Balance Sheet Reconciliations * Prepare, review, and maintain assigned balance sheet reconciliations in accordance with Bank policy. * Ensure reconciliations are completed accurately and within ...
Northampton, MA · On-site
$32.70/hr
You'll own the full cycle of balance sheet account reconciliation across the organization - from monthly prep and variance investigation through journal entry posting and schedule maintenance. This ...
Northampton, MA · On-site
$32.70/hr
You'll own the full cycle of balance sheet account reconciliation across the organization - from monthly prep and variance investigation through journal entry posting and schedule maintenance. This ...
Daingerfield, TX · On-site
Balance Sheet Reconciliations * Prepare, review, and maintain assigned balance sheet reconciliations in accordance with Bank policy. * Ensure reconciliations are completed accurately and within ...
Daingerfield, TX · On-site
Balance Sheet Reconciliations * Prepare, review, and maintain assigned balance sheet reconciliations in accordance with Bank policy. * Ensure reconciliations are completed accurately and within ...
Daingerfield, TX · On-site
Balance Sheet Reconciliations * Prepare, review, and maintain assigned balance sheet reconciliations in accordance with Bank policy. * Ensure reconciliations are completed accurately and within ...
Quick apply
Daingerfield, TX · On-site
Balance Sheet Reconciliations * Prepare, review, and maintain assigned balance sheet reconciliations in accordance with Bank policy. * Ensure reconciliations are completed accurately and within ...
Be Seen First
Houston, TX · On-site
$70K - $75K/yr
Handle payroll accounting, accruals, balance sheet reconciliations, and GL entries. Manage PTO/vacation reserve tracking and year-end vacation payouts. * Process cash clearing transactions and ...
New
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Houston, TX · On-site
$70K - $75K/yr
Handle payroll accounting, accruals, balance sheet reconciliations, and GL entries. Manage PTO/vacation reserve tracking and year-end vacation payouts. * Process cash clearing transactions and ...
New
$105K - $130K/yr
The candidate will be responsible for consolidation accounting for the firm's multiple business lines, as well as P&L and balance sheet reconciliation, month-end close, journal entries, and booking ...
$105K - $130K/yr
The candidate will be responsible for consolidation accounting for the firm's multiple business lines, as well as P&L and balance sheet reconciliation, month-end close, journal entries, and booking ...
$46K - $112K/yr
Perform and/or review balance sheet reconciliations in alignment with COE standards, ensuring completeness, accuracy, and compliance with policy * Validate supporting documentation, ensuring clear ...
$46K - $112K/yr
Perform and/or review balance sheet reconciliations in alignment with COE standards, ensuring completeness, accuracy, and compliance with policy * Validate supporting documentation, ensuring clear ...
Phoenix, AZ · On-site
$46K - $102K/yr
Perform and/or review balance sheet reconciliations in alignment with COE standards, ensuring completeness, accuracy, and compliance with policy * Validate supporting documentation, ensuring clear ...
Phoenix, AZ · On-site
$46K - $102K/yr
Perform and/or review balance sheet reconciliations in alignment with COE standards, ensuring completeness, accuracy, and compliance with policy * Validate supporting documentation, ensuring clear ...
$14.90 - $16.63
9% of jobs
$16.63 - $18.36
8% of jobs
$19.25 is the 25th percentile. Wages below this are outliers.
$18.36 - $20.08
17% of jobs
The median wage is $21.76 / hr.
$20.08 - $21.81
17% of jobs
$21.81 - $23.54
12% of jobs
$23.54 - $25.26
9% of jobs
$26.34 is the 75th percentile. Wages above this are outliers.
$25.26 - $26.99
6% of jobs
$26.99 - $28.72
6% of jobs
$28.72 - $30.44
5% of jobs
$30.44 - $32.17
4% of jobs
$32.17 - $33.89
6% of jobs
$14
$23
$33
| Aspect | Weekend Balance Sheet Reconciliation | Weekend Accounts Payable Clerk |
|---|---|---|
| Primary Responsibilities | Reconciling financial statements, verifying account accuracy, ensuring data integrity | Processing invoices, managing vendor payments, maintaining accounts payable records |
| Required Skills | Financial analysis, attention to detail, accounting software proficiency | Data entry, communication skills, familiarity with accounting systems |
| Work Environment | Finance or accounting department, office setting | Finance or accounting department, office setting |
| Certifications | Typically requires accounting or finance certifications (e.g., CPA, CMA) | Usually requires basic accounting or bookkeeping experience, certifications are optional |
Weekend Balance Sheet Reconciliation focuses on verifying and ensuring the accuracy of financial statements, while Weekend Accounts Payable Clerk handles processing vendor invoices and payments. Both roles are essential in finance departments but differ in their core tasks and required credentials.

$52K - $69K/yr
Full-time
Re-posted 17 days ago
Our Client is seeking a detail-oriented and experienced Staff Accountant to support General Ledger reconciliations, Accounts Payable, Accounts Receivable, and balance sheet reconciliation.Â
ResponsibilitiesSourced by ZipRecruiter
enVision was built out of passion by people who share the entrepreneurial spirit and strive to create a WOW! experience for both our clients and candidates. enVision is a business created out of experience generated from the short falls of the large corporate staffing cultures. We wanted the recruiting experience to be more focused on individual service than on a generic process. Our approach is not to only focus on skill sets but to understand the culture of the departments we are recruiting into, and find people that compliment them. Our business model helps us to adapt easier to our clients needs and their requirements. We are also focused on taking a more active approach to community involvement and involved with several charities.
Recruiting and staffing services
11 - 50 Employees
Sunrise, FL, US
2006