Agencia de Contratación (Tercer Sector)

Accounting Reconciliation Specialist

Híbrido, El trabajo se debe realizar en o cerca de New York, NY


  • Descripción

    Tipo de contrato:Bajo Contrato / Freelance
    Fecha de inicio:16 de septiembre de 2024
    Fecha límite de postulación:15 de septiembre de 2024
    Educación:Licenciatura
    Nivel de Experiencia:Principiante
    Compensación:USD $33 / hora

    Descripción

    Job description

    Exciting opportunity! Well known non-profit, global media company is seeking a Reconciliation Specialist for their cash management department. This is a long-term temp role with the possibility of going permanent.

    Heavy Reconciliation and Input needed in a Deadline Driven role.

    This is a Hybrid role: Client Headquarters are located in Midtown Manhattan.

    Key Responsibilities:

    • Perform daily reconciliations of cash accounts, including bank statements and internal cash ledgers.
    • Identify, investigate, and resolve discrepancies between cash transactions and records.
    • Assist in the preparation of reports related to cash management activities.
    • Work closely with the finance team to ensure accurate and timely posting of cash transactions.
    • Maintain accurate and up-to-date records of all reconciliations and discrepancies.
    • Support the month-end and year-end closing processes by ensuring all cash accounts are reconciled.
    • Assist in the implementation and improvement of cash reconciliation processes and procedures.

    Qualifications:

    Bachelor’s degree in Accounting, Finance, or a related field is a plus.

    3 - 4 years of Experience is preferred.

    Send resume for immediate consideration.

    Job description

    Exciting opportunity! Well known non-profit, global media company is seeking a Reconciliation Specialist for their cash management department. This is a long-term temp role with the possibility of going permanent.

    Heavy Reconciliation and Input needed in a Deadline Driven role.

    This is a Hybrid role: Client Headquarters are located in Midtown Manhattan.

    Key Responsibilities:

    • Perform daily reconciliations of cash accounts, including bank statements and internal cash ledgers.
    • Identify, investigate, and resolve discrepancies between cash transactions and records.
    • Assist in the preparation of reports related to cash management activities.
    • Work closely with the finance team to ensure accurate and timely posting of cash transactions.
    • Maintain accurate and up-to-date records of all reconciliations and discrepancies.
    • Support the month-end and year-end closing processes by ensuring all cash accounts are reconciled.
    • Assist in…

    Ubicación

    Híbrido
    El trabajo se puede realizar en o cerca de New York, NY
    New York, NY, USA

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