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Weekend Balance Sheet Reconciliation Jobs in Rochester, NY

Staff Accountant

Rochester, NY · On-site

$65K - $75K/yr

Reconcile balance sheets accounts to detailed support on a monthly basis. * Help to prepare for various external audits- Annual financial statement audit and semi-annual bank audits. * Supports ...

Cost Accountant

Rochester, NY · On-site

$63K - $92K/yr

Preparation of high-quality balance sheet account reconciliations * Preparation and presentation of quarterly analysis deliverables * Support a sustainable and efficient close and reporting process ...

Cost Accountant

Rochester, NY · On-site

$63K - $92K/yr

Preparation of high-quality balance sheet account reconciliations * Preparation and presentation of quarterly analysis deliverables * Support a sustainable and efficient close and reporting process ...

Senior Accountant

Pittsford, NY · On-site

$68K - $85K/yr

Oversee the preparation and analysis of financial statements, including balance sheets, income ... Manage month-end and year-end close processes, including journal entries, reconciliations, and ...

Senior Accountant

Rochester, NY · Remote

$68K - $85K/yr

Oversee the preparation and analysis of financial statements, including balance sheets, income ... Manage month-end and year-end close processes, including journal entries, reconciliations, and ...

Maintains general ledger by transferring subsidiary accounts, preparing a trail balance and reconciling entries. * Summarizes financial status by collecting information and preparing balance sheets ...

Site Financial Controller

Rochester, NY · On-site

$85K - $120K/yr

Maintains general ledger by transferring subsidiary accounts, preparing a trail balance and reconciling entries. * Summarizes financial status by collecting information and preparing balance sheets ...

Sales Lead - Chico's

Pittsford, NY · On-site

$17 - $21.25/hr

... sheets and other payroll documentation for accuracy and submits as appropriate. * Monitors ... Supervises associates engaged in sales, inventory receipt, reconciling cash receipts, or in ...

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Weekend Balance Sheet Reconciliation information

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$14

$23

$33

How much do weekend balance sheet reconciliation jobs pay per hour?

As of Aug 21, 2026, the average hourly pay for weekend balance sheet reconciliation in Rochester, NY is $23.42, according to ZipRecruiter salary data. Most workers in this role earn between $19.23 and $27.50 per hour, depending on experience, location, and employer.

What is a weekend balance sheet reconciliation?

A Weekend Balance Sheet Reconciliation is the process of reviewing and verifying the balances of accounts on a company's balance sheet, typically performed over the weekend. This ensures that all account balances are accurate and that any discrepancies are identified and resolved before the start of the next business week. The process involves comparing internal records to external statements, checking for errors or omissions, and preparing reports for management. Weekend reconciliations are common in industries where financial data is updated or finalized outside of regular business hours.

What are the key skills and qualifications needed to thrive as a weekend balance sheet reconciliation specialist?

To thrive as a Weekend Balance Sheet Reconciliation specialist, you need a strong background in accounting principles, attention to detail, and experience with financial reporting, typically supported by a degree in accounting or finance. Familiarity with reconciliation software, enterprise resource planning (ERP) systems like SAP or Oracle, and Excel is commonly required. Strong analytical thinking, organizational skills, and the ability to work independently under tight deadlines are important soft skills for this role. These skills ensure accurate financial records, timely identification of discrepancies, and compliance with regulatory standards during weekend operations.

What are some common challenges faced in a weekend balance sheet reconciliation role, and how can I prepare for them?

Weekend Balance Sheet Reconciliation professionals often face tight deadlines and the need to work independently, as they are responsible for ensuring accounts are accurate before the start of the business week. One common challenge is quickly resolving discrepancies that may arise due to transactions occurring late in the week or data entry errors. To prepare, familiarize yourself with reconciliation software and develop strong attention to detail, as well as effective communication skills for collaborating with other finance team members remotely or outside of standard hours. Being proactive and organized will help you handle the fast-paced nature of weekend financial operations.

What is the difference between Weekend Balance Sheet Reconciliation vs Weekend Accounts Payable Clerk?

AspectWeekend Balance Sheet ReconciliationWeekend Accounts Payable Clerk
Primary ResponsibilitiesReconciling financial statements, verifying account accuracy, ensuring data integrityProcessing invoices, managing vendor payments, maintaining accounts payable records
Required SkillsFinancial analysis, attention to detail, accounting software proficiencyData entry, communication skills, familiarity with accounting systems
Work EnvironmentFinance or accounting department, office settingFinance or accounting department, office setting
CertificationsTypically 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.

How do you reconcile balance sheets as a Weekend Balance Sheet Reconciliation?

A Weekend Balance Sheet Reconciliation involves reviewing and matching all account balances, such as cash, accounts receivable, and accounts payable, against supporting documentation to ensure accuracy. It typically requires using accounting software, performing detailed checks, and identifying discrepancies to correct errors before the start of the new business week.

Is reconciliation a good career?

Weekend balance sheet reconciliation is a specialized accounting role that involves verifying financial data and ensuring accuracy of financial statements. It requires attention to detail, proficiency with accounting software, and often offers regular hours, making it a stable career option in finance. The job can lead to advancement in accounting or finance roles with experience and additional certifications.

What cities near Rochester, NY are hiring for Weekend Balance Sheet Reconciliation jobs?

Cities near Rochester, NY with the most Weekend Balance Sheet Reconciliation job openings:

Infographic showing various Weekend Balance Sheet Reconciliation job openings in Rochester, NY as of July 2026, with employment types broken down into 1% As Needed, 78% Full Time, 19% Part Time, and 2% Contract. Highlights an 92% Physical, 2% Hybrid, and 6% Remote job distribution, with an average salary of $48,705 per year, or $23.4 per hour.

$65K - $75K/yr

Full-time

Posted 11 days ago


Admar Supply rating

6.6

Company rating: 6.6 out of 10

Based on 8 frontline employees who took The Breakroom Quiz

134th of 175 rated vehicle equipment hire


Job description

Job Type
Full-time
Description
ADMAR is seeking a detail-oriented and self-motivated Staff Accountant to join our dynamic financial team. Working closely with the Director of Accounting, you will play a critical role in maintaining financial integrity by managing bank reconciliations, general ledger entries, fixed assets, and tax filings. If you possess a Bachelor's degree in Accounting or Finance, at least 3 years of hands-on experience with ERP systems, and a winning attitude, apply today to help drive our financial success.
Working with the Admar Director of Accounting, the Staff Accountant is responsible for providing a high level of support in the processing and maintenance of financial transactions.
Essential Functions :
  • Reconcile bank accounts on a monthly basis. Review transactions - deposits, withdrawals, transfers, and other items on a timely basis. Research and resolve errors.
  • Maintain the general ledger. Record and adjust entries as needed, including appropriate sales and revenue postings.
  • Become proficient with the fixed asset accounting system. Input monthly acquisitions and retirements in a timely manner. Reconcile this fixed asset detail with the general ledger monthly.
  • Reconcile balance sheets accounts to detailed support on a monthly basis.
  • Help to prepare for various external audits- Annual financial statement audit and semi-annual bank audits.
  • Supports Inventory Management functions by preparing reports, reviewing physical count variances, and participating in physical inventory counts.
  • Develop proficiency and a strong understanding of the Company's financial systems.
  • Act as liaison between Controller and others. (I.e. other internal companies, departments, managers, external contacts, clients, etc.) Assist in clarifying and resolving issues and problems, communicating decisions and information to various companies/departments and outside contacts.
  • Prepare and file Sales and Use Tax Returns
  • Assist in other general accounting activities and special projects as necessary.

Required Experience / Education
  • Bachelor's degree in Accounting or Finance and a minimum of 3 years experience. CPA is preferred.
  • Experience utilizing ERP systems or electronic Financial Systems (Acumatica/JD Edwards/Infor/SAP/AS400)
  • Proficiency in the use of the Microsoft Office Suite (Excel/Outlook/Word)
  • Possess strong decision making skills to work in an environment that is complex in nature
  • Must have winning attitude and be self-motivated and driven to succeed.
  • Must be able to work effectively with employees in a collaborative team environment

Salary Description
$65,000 - $75,000 per year

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