Sign up to access all features of our service.
  • Job search
  • Favorites
  • Create a CV
    New
  • Salaries
  • Subscriptions

Accounting Manager Bank Reconciliation

$138.15k - $168.85k

Pacific Life Insurance Co

Job Description:

Providing for loved ones, planning rewarding retirements, saving enough for whatever lies ahead - our policyholders count on us to be there when it matters most. It's a big ask, but it's one that we have the power to deliver when we work together. We collaborate and innovate - pushing one another to transform not just Pacific Life, but the entire industry for the better. Why? Because it's the right thing to do. Pacific Life is more than a job, it's a career with purpose. It's a career where you have the support, balance, and resources to make a positive impact on the future - including your own.

The Manager of General Accounting Bank Reconciliation Team is responsible for leading and overseeing enterprise-wide bank reconciliation and transactional matching processes within Account Reconciliation Cloud Service and PeopleSoft. This role manages a team of accounting professionals and is accountable for ensuring the accuracy, completeness, and timeliness of financial data in accordance with accounting policies, ICFR requirements, and operational standards.

The manager directs day-to-day operations and owns the end-to-end book-to-bank reconciliation process, ensuring strong control alignment, process integrity, and effective execution. This role requires deep understanding of upstream and downstream impacts, design of appropriate controls, and the development of scalable, well-governed processes.

In addition to operational leadership, the role is responsible for driving process development and continuous improvement initiatives, enhancing reconciliation standardization, and strengthening control environments. The manager partners closely with various accounting teams, Treasury, Tax, Investment Operations, and other cross-functional stakeholders to ensure alignment, resolve discrepancies, and support control compliance.

The role also delivers key insights and performance metrics to senior leadership, translating complex reconciliation and control data into clear, actionable recommendations that improve efficiency, reduce risk, and support decision-making.

How you'll help move us forward:
  • Leads and manages a team of accounting professionals responsible for bank reconciliations and transactional matching processes within ARCS and PeopleSoft. Ensures timely and accurate completion of daily, weekly, and monthly activities, including monitoring and rectifying aged items and high-risk balances
  • Owns the end-to-end book-to-bank reconciliation process and control environment , ensuring alignment of processes, risks, and controls across systems and teams. Establishes and enforces reconciliation governance, standardization of templates, and documentation of procedures to support a strong ICFR framework. Drives process development and continuous improvement initiatives , leveraging technology and automation to enhance efficiency, scalability, and control effectiveness. Identifies gaps in existing processes and implements end-to-end solutions that improve data integrity and operational performance.
  • Collaborates cross-functionally with various accounting teams, Treasury, Tax, Investment Operations, and other business units to resolve discrepancies, ensure process alignment, and support control compliance.
  • Provides leadership, coaching, and talent development , including hiring, performance management, goal setting, and continuous development of team members. Builds and sustains a high-performing team aligned with organizational priorities.
  • Delivers reporting and insights to senior leadership , including KPIs, aging metrics, risk exposure, and operational performance. Communicates complex financial and control information clearly to support decision-making
The experience you bring:
  • BA/BS degree in Accounting, Finance, related field, or equivalent experience
  • 8+ years of accounting or financial operations experience
  • Demonstrated experience managing and developing teams, including supervisors or senior-level staff
  • Strong knowledge of general ledger, bank reconciliation processes, and ICFR frameworks
  • Experience with enterprise reconciliation tools (e.g., ARCS) and ERP systems (e.g., PeopleSoft, Oracle)
  • Proven ability to manage large data sets and multiple systems to support complex analysis
  • Strong analytical, problem-solving, and issue resolution skills
  • Excellent communication skills with ability to influence and present to senior leadership
  • Ability to manage competing priorities and adapt to changing business needs
You can be who you are.

We are committed to a culture of diversity and inclusion that embraces the authenticity of all employees, partners and communities. We support all employees to thrive and achieve their fullest potential. What's life like at Pacific Life? Visit Instagram.com/lifeatpacificlife

#LI-TM1

Base Pay Range:

The base pay range noted represents the company's good faith minimum and maximum range for this role at the time of posting. The actual compensation offered to a candidate will be dependent upon several factors, including but not limited to experience, qualifications and geographic location. Also, most employees are eligible for additional incentive pay.

$138,150.00 - $168,850.00

Your Benefits Start Day 1

Your wellbeing is important to Pacific Life, and we're committed to providing you with flexible benefits that you can tailor to meet your needs. Whether you are focusing on your physical, financial, emotional, or social wellbeing, we've got you covered.
  • Prioritization of your health and well-being including Medical, Dental, Vision, and Wellbeing Reimbursement Account that can be used on yourself or your eligible dependents
  • Generous paid time off options including: Paid Time Off, Holiday Schedules, and Financial Planning Time Off
  • Paid Parental Leave as well as an Adoption Assistance Program
  • Competitive 401k savings plan with company match and an additional contribution regardless of participation

You Can Be Who You Are

We are committed to a culture of diversity and inclusion that embraces the authenticity of all employees, partners and communities. We support all employees to thrive and achieve their fullest potential.


What's life like at Pacific Life? Visit Instagram.com/lifeatpacificlife

EEO Statement:

Pacific Life Insurance Company is an Equal Opportunity /Affirmative Action Employer, M/F/D/V. If you are a qualified individual with a disability or a disabled veteran, you have the right to request an accommodation if you are unable or limited in your ability to use or access our career center as a result of your disability. To request an accommodation, contact a Human Resources Representative at Pacific Life Insurance Company.
Vacancy posted 6 days ago
Similar jobs that could be interesting for youBased on the Accounting Manager Bank Reconciliation in Charlotte, NC vacancy
  • $60k - $65k

     ...diverse portfolio of owned, managed, and franchised properties makes...  ...Perform professional accounting duties to maintain control over...  ...ledgers as needed. Prepare tax reconciliations, payments, reports and...  ...balance sheet reconciliations and bank reconciliations.... 
    Suggested
    Contract work
    Temporary work
    Weekend work

    Sonesta International Hotels

    Charlotte, NC
    4 days ago
  • $125k

     ...Accounting Manager Imperial USA Ltd. Charlotte, NC Imperial USA Ltd. is a door hardware manufacturing company based in Charlotte...  ...Maintain accurate general ledger records and perform bank reconciliations Prepare monthly financial statements and internal... 
    Suggested
    Live in
    Immediate start

    Group Management Services

    Charlotte, NC
    1 day ago
  •  ...Automotive Controller to oversee the accounting operations for their...  ...will be responsible for managing the day-to-day accounting functions...  ...accounts, schedules, and bank statements Ensure...  ...assistants Manage floor plan reconciliations and lender relationships... 
    Suggested
    Work at office

    HHM Talent

    Charlotte, NC
    2 days ago
  •  ...Job Description Financial Accounting Manager Company: Symbiotic Services Overview...  ...including journal entries, accruals, reconciliations, and financial statement review...  ...cross-functionally on cash activity, banking transactions, and reconciliations... 
    Suggested

    Symbiotic Corp.

    Charlotte, NC
    1 day ago
  • $70k - $140k

    The Regulatory Reporting Accounting Manager position is a highly visible and impactful financial...  ...and analysis for required banking regulatory reports such as the Call Report...  ...regarding the various reports. Perform reconciliations to other regulatory and external filings... 
    Suggested
    Work at office
    Flexible hours

    Huntington National Bank

    Charlotte, NC
    7 days ago
  • $90k

     ...Description Job Description Position Description: Property Accounting Manager Location: RemoteJob Title: Property Accounting Manager...  ...review/approval of the monthly financial statements, bank reconciliations, wires, etc., while meeting the internal/external... 
    Remote job
    Temporary work
    Work at office

    Summerfield Management, LLC

    Matthews, NC
    24 days ago
  • Property Accounting Manager - Charlotte, NC Property Accounting Manager - Go Store It Location: Charlotte, NC Are you a hands-on accounting...  ...Review monthly, quarterly, and annual financials Manage bank reconciliations, journal entries, accruals & more Record key... 

    Go Store It

    Charlotte, NC
    3 days ago
  •  ...At Bank of America, we are guided by a common purpose...  ...This job is responsible for managing the day-to-day financial reporting...  ...Agency regulatory reporting and accounting policy. Key responsibilities...  ...analysis, and cross report reconciliations Drives identification,... 
    Work at office
    Flexible hours
    Shift work
    Day shift

    Bank of America Corporation

    Charlotte, NC
    a month ago
  •  ...Financial Reporting Manager We are seeking a highly motivated and detail-oriented...  ...deadlines are met Perform balance sheet reconciliations, variance analysis, and ensure...  ...CPA certification Advanced degree in Accounting, Finance, or related field Education... 
    Work at office
    3 days per week

    SunEnergy1

    Charlotte, NC
    1 day ago
  •  ...Responsibilities ~ Responsible for the accounting and finance function of the QuintRooms...  ..., including journal entries, account reconciliations, accruals, variance analysis, and...  ...efficient team operations. ~ Manage and oversee accounts payable and accounts... 

    Quint Company

    Charlotte, NC
    3 days ago
  •  ...Accounting Manager Renuity is seeking an Accounting Manager to join our team! As the Accounting Manager, you will be responsible for...  ...process, financial statement preparation, and balance sheet reconciliations. You will also manage and mentor the divisional accounting... 

    Renuity

    Charlotte, NC
    3 days ago
  • $120k - $140k

     ...Mondays and Fridays each week. Red Ventures is seeking an Accounting Manager to join our Accounting team. This person will be...  ...responsibilities and workload Review and perform account analysis and reconciliation, including review of complex general ledger accounts... 
    Full time
    Temporary work
    Work at office
    Local area
    Remote work
    Monday to Friday
    Flexible hours

    Red Ventures

    Charlotte, NC
    3 days ago
  • $166.35k - $195.7k

     ...Coinbase is looking for a highly motivated accounting professional to join our Accounting team...  ...operational excellence. The Accounting Manager, Platform will have the opportunity to make...  ...Looker, etc.) Experience in working at bank, fin-tech, financial regulatory agency... 
    Local area

    Coinbase

    Charlotte, NC
    5 days ago
  •  ...Job Description: Accounting Manager Supervise and develop an Accounting team through hiring, training, coaching, performance...  ...segments. Review and approve journal entries, account reconciliations, and resolve cross-functional inquiries related to financial... 
    Temporary work
    Interim role
    Flexible hours

    Wastequip

    Charlotte, NC
    5 days ago
  •  ...infrastructure. Collaborative, team-oriented accounting and finance environment that partners...  ...with prior leadership or team management responsibility. ~ Strong background...  ...month-end close, financial reporting, reconciliations, budgeting, forecasting, and variance... 

    AccruePartners

    Charlotte, NC
    4 days ago
  •  ...About the job Senior Accounting Manager The Opportunity: We are seeking a highly skilled and detail-oriented Senior Accounting...  ..., funding, and investment oversight. Audit and Reconciliation: Lead reconciliation efforts for trust accounts and ensure... 
    Work at office
    Immediate start

    Wright Staffing Source

    Charlotte, NC
    4 days ago
  •  ...Accounting Manager / Senior Accountant We're a growing professional services & technology equipment company in Charlotte, NC, looking...  ...-Cycle Accounting & Reporting – manage general ledger, reconciliations, financial statements, and month-end close. Accounts Receivable... 

    Oxit

    Charlotte, NC
    1 day ago
  • $97k - $135k

     ...About the Role The Payroll Manager will support Charlie Health'...  .... Seated within our Accounting team, the Payroll Manager will...  ...~ Oversee the auditing and reconciliation of all payroll data, proactively...  ...will not ask for your personal banking information until you have... 
    Hourly pay
    Full time
    For contractors
    Local area
    Remote work

    Charlie Health

    Charlotte, NC
    4 days ago
  • $166.35k - $195.7k

     ...Coinbase is looking for a highly motivated accounting professional to join the Controllership...  ...Assistant Controller, the Accounting Manager, Intercompany and GL Operations will...  ...intercompany data issues and automate manual reconciliation workflows. Audit & Reporting: Lead... 
    Local area

    Coinbase

    Charlotte, NC
    2 days ago
  •  ...You'll Perform The Role Manage daily cash position and liquidity reporting including reconciliation, reporting, forecasting and initiation...  ...Manage access to bank portals and payment templates...  ...authorities Manage global bank accounts including: Open/close bank... 
    Local area
    Remote work
    Flexible hours

    Pactiv Evergreen

    Charlotte, NC
    5 days ago
  •  ...Industry to help them grow out their corporate accounting team. This Industry Leader is seeking an Accounting Manager to serve as a senior technical reviewer, problem...  ...early in the close process Assist with quarterly bank reporting packages, including drafting supporting... 

    Carolina PRG

    Charlotte, NC
    2 days ago
  •  ...analysis, and verification of accounting records in a school setting....  ...data required for fiscal management. Responsibilities Maintains...  ...s checking account ensuring bank deposits are made according...  ...policy and prepares monthly reconciliation of the school’s checking account... 
    Local area

    Young World Physical Education

    Charlotte, NC
    4 days ago
  • $73.6k - $110.4k

     ...between Treasury's business and banking partners, you will operate...  ...and The Hartford's treasury management system, bank web portals,...  ...Participate in the collection, input, reconciliation, and reporting of data from...  ...in Business, Finance, or Accounting preferred (open to 2026... 
    Temporary work
    Bank staff
    Work at office
    3 days per week

    The Hartford Financial Services Group, Inc.

    Charlotte, NC
    5 days ago
  • $71k - $125k

     ...Job Summary Reporting to the Senior Manager, ALM Data & Analytics, the candidate is...  ...rules (completeness, validity, timeliness, reconciliation tolerances) and ensure breaks are...  ...Degree (Finance, Information Technology, Accounting or related field) Experience Qualifications... 
    Work at office
    Flexible hours

    Key Bank

    Charlotte, NC
    5 days ago
  • $76.5k

     ...Job Description The Accounting Specialist supports the day‑to‑day accounting operations of the Business and...  ...coordination, grant accounting, general ledger support, and management of banking activities, including reconciliations, deposits, wire transfers, and bank reporting.... 
    Full time
    Work at office

    EchoPark Automotive

    Charlotte, NC
    3 days ago
  • $133.2k - $213.12k

     ...Your Impact Reports to: Director, Revenue Accounting What You'll Do Lead day-to-day...  ...key revenue streams, journal entries, reconciliations, and disclosures. Ensure accurate revenue...  ...asked for sensitive personal information (bank details, Social Security Number)... 
    Relocation

    Axon Enterprise

    Charlotte, NC
    1 day ago
  •  ...Dependent Care Flexible Spending Accounts Paid Time Off (Vacation...  ...matter expert for the reconciliation of daily disbursement processes...  ...backup support to all other banking functions to include voids...  ...interface with all levels of management and external vendors... 
    Daily paid
    Minimum wage
    Temporary work
    Casual work
    Work at office
    Local area
    Flexible hours
    Afternoon shift

    Vallen Distribution, Inc.

    Belmont, NC
    2 days ago
  •  ...ability to identify data sources; manage large amounts of data; merge...  ...oversight. Responsible and accountable for risk by openly...  ...While operating within the Bank's risk appetite, achieves results...  ...activities. Perform monthly data reconciliation between internal files,... 

    Fifth Third Bank, N.A.

    Charlotte, NC
    5 days ago
  • $20 - $23 per hour

     ...Accounting Specialist EchoPark Automotive is one of the fastest...  ...responsible for processing car deals, managing accounting tasks, and...  ...schedule reviews and reconciliations throughout the month Assist...  ...Stock In Control, Month End Bank Activity, Bank Reconciliation... 
    Hourly pay
    Casual work

    Sonic Automotive

    Charlotte, NC
    4 days ago
  •  ...Accounts Payable Analyst Charlotte, NC Office Work On-Site...  ...integrity of payables through reconciliation of discrepancies and...  ...Reconciliation & Exception Management Controls Monthly vendor...  ...approval ? Payment release Bank details changes: Independently... 
    Full time
    Work at office

    GITI Tire

    Charlotte, NC
    1 day ago

Do you want to receive more vacancies?

Subscribe and receive similar vacancies to Accounting Manager Bank Reconciliation. Be the first to apply!