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• 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 of the following, Banking Operations, Accounting, Reconciliation. Experience in more than one is ideal.
• Intermediate Excel experience (formulas, functions, pivot tables, lookups, etc).
• Can be remote or hybrid if close to the FCB site (NC
Date Posted: 04 June 2025
Job Expired - Click here to search for similar jobs