Reconciliation Specialist - Deposit Operations
Valley National Bank
Job DescriptionResponsibilities include but are not limited to:Perform regular reconciliations of bank statements, accounts, and ledgers to identify discrepancies and ensure accuracy in financial reporting.Investigate and resolve discrepancies in a timely manner, collaborating with internal teams to gather necessary information and documentation. Preparation and review of daily, monthly, and quarterly account reconciliations to ensure accuracy and completeness.Collaborate with senior team members to streamline reconciliation procedures and enhance efficiency.Job RequirementsRequired Skills:Proficiency in Microsoft Excel, including pivot tables and VLOOKUP functions.Familiarity with accounting software such as SAPExperience with financial databases and reporting systems.Excellent verbal and written communication. Ability to write correspondence and present information to peers and management.Strong analytical, problem solving, and decision-making skills to effectively uncover and resolve issues.Detail oriented, strong organizational skills, and high degree of accuracy. Ability to handle multiple projects simultaneously.Required Experience:High School Diploma/GED and a minimum of 3 years of experience in Finance or Accounting.Preferred Experience:FIS/IBS (Integrated Banking Solutions). Associate or bachelor's degree in a related field. Job DetailsJob Type: Full-timeCategory: OperationsSalaried: Hourly
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$120k - $150k
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...to oversee all accounting and financial operations of the business. This is a hands‑on... ...Accounting Oversee inventory accounting and reconciliation Ensure accurate inventory valuation and... ..., including New York State container deposit laws Oversee sales tax filings and regulatory...DepositsOperationsLocal area$200k - $235k
...Digital’s end-to-end payments business, owning the strategy, performance, economics, operations, and customer experience across deposits, withdrawals, reversals, refunds, and reconciliation. This leader will drive improvements in conversion, authorization rates,...DepositsOperationsContract workTemporary workFlexible hours- ...highly organized Controller to lead the school’s accounting operations and financial reporting functions. The Controller will... ...payable, accounts receivable, student billing, cash receipts, deposits, and reconciliations Manage the monthly close process and prepare accurate...DepositsOperationsPermanent employmentWork at officeLocal area
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