Bank Reconciliation Analyst
Core
Execute daily and monthly bank reconciliations across multiple entities and accounts to ensure accuracy, internal control compliance, and timely resolution of open items.
Role type
Bank Reconciliation Analyst
Builds
Accurate financial reporting and audit-ready documentation for global entities
Domain
Finance / Accounting / Shared Services
Deliverable
production ML models | product features | dashboards & analysis | research | client delivery | infrastructure | physical/clinical work
Required skills
Bank reconciliation, cash accounting, general ledger accounting, internal controls (SOX), BlackLine, SAP FI/GL, root cause analysis, process improvement, stakeholder collaboration
Preferred skills
Treasury operations, bank interfaces, cash management, finance transformation, system implementations, Power BI, Tableau, IFRS, US GAAP
Responsibilities
Prepare and review bank reconciliations in BlackLine, analyze open items and coordinate resolutions, escalate complex exceptions, support internal and external audits, monitor process indicators, propose process improvements, support finance transformation projects, partner with Treasury to resolve bank interface issues
Seniority
Mid-level, hands-on IC