Description:
Support the Reconciliation Team by preparing daily reconciliations, primarily in Excel or automation tools.Support Month-end reconciliation certification and attestation by uploading the final month-end reconciliation to the certification application.Provide adequate explanations and action plans on outstanding items according to established policy.Research variances using multiple bank applications, match items accurately and communicate with business partners.Require knowledge in at least one
Jun 2, 2025;
from:
dice.com