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RCBC

Reconciliation Specialist

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  • Posted 6 hours ago
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Job Description

Job Summary

  • Responsible for the monitoring, review and reconciliation of GL accounts and to ensure accuracy and reliability of reports to concerned Head Office units.

How will you contribute

  • Daily monitoring and review of GL accounts for any abnormal balance, float items, and discrepancy between SL and GL. Investigates cause of discrepancy and recommends adjusting entries.
  • Reconciliation and issuance of exception memo to Concerned units
  • Preparation of various schedules for Certification of Balances (COB) and reporting purposes
  • Updating of status and/or disposition of outstanding balances of Accounts included in the quarterly aging report. Escalation of long outstanding items.
  • Preparation of life insurance such as CLI or Credit Life Insurance and MRI or Mortgage Redemption Insurance and non-life insurance such as Fire Insurance and Motor Comprehensive Insurance for monthly remittance to third party agencies.

What will make you successful

  • Bachelor's degree in Accounting or equivalent course.
  • Knowledge on Bank's operations and accounting-related entries.
  • Preferably with experience in bank operations or accounting-related.

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About Company

RCBC

Job ID: 143860751

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