Bank Reconciliation Coordinator
Company: Regional Finance
Location: Greer
Posted on: April 1, 2026
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Job Description:
Take your career to the next level! In the last few years our
goal has been expansion, creating growth opportunities for many of
our team members. Not only are we serious about growth, but we are
also serious about helping our customers during hard financial
times. We take pride in providing solutions and offering a helping
hand, not only to our customers but also to the communities we
serve. As we continue to expand and grow into a national leader in
consumer financing, we invite you to consider joining our team. If
you're passionate about making a meaningful impact in people's
lives and bringing a personal touch to finance, we'd love to have
you on board! The Bank Reconciliation Coordinator will reconcile
general ledger cash accounts to their respective bank statements.
Duties and Responsibilities Reconcile general ledger cash accounts
to their respective bank statements. Investigate and record
reconciling differences timely. Report annual Escheat / Unclaimed
Property to various state entities. Maintain and record the Escheat
Liability to the Balance Sheet. Review outstanding check listings
for accuracy. Communicate professionally with branches, branch
support, and department heads to resolve reconciling differences.
Communicate with Treasury on all new bank accounts. Generates JIRA
ticket to assure new bank accounts are properly set up in the
General Ledger. Maintain the bank account matrix linking the bank
accounts to the GL accounts for audit purposes. Ensure timely
preparation of all bank account reconciliations. Manage monthly
Bank Reconciliation log, including logging of completed bank
reconciliations onto the Balance Sheet Reconciliation log. Support
the external audit process. Assist in enforcing proper operational
and internal controls over Banking accounts and processes. Support
Sarbanes-Oxley (SOX) compliance over Banking accounts and
processes. Preparation of journal entries related to bank
statements and reconciliations. Minimum Qualifications Proficiency
in Microsoft office products and general typing. Understanding of
Journal Entries as they relate to reconciliations Excellent
professional written and verbal communication and interpersonal
skills required. Ability to prioritize assignments, deal with
interruptions, and meet deadlines in a fast paced and
growth-oriented environment. High customer service standards.
Proficient in Microsoft Office and Excel experience required. Must
pass all pre-employment screening. Preferred Qualifications Minimum
of 1 to 3 years of Bank Reconciliations at high volume. Experience
with documenting and reporting Unclaimed Property (Escheat) to
various states. Financial services industry experiences.
Multi-business unit experience. Proactive mindset with
trouble-shooting, problem resolution, and follow through skills.
Requires willingness to work a flexible schedule. Regional is an
equal opportunity employer and does not discriminate on the basis
of race, color, religion, creed, national origin, sex (including
pregnancy, childbirth, and related medical conditions), sexual
orientation, gender identity, transgender status, age, disability,
genetic information, veteran status, uniform service, or any other
characteristic protected by applicable law (“Protected
Characteristics”). Regional’s policy of non-discrimination applies
to all phases of the employment process and relationship,
including, but not limited to, recruitment and selection;
compensation and benefits; professional development and training;
promotions and opportunities; transfers; social and recreational
programs; layoff; and terminations.
Keywords: Regional Finance, Athens , Bank Reconciliation Coordinator, Accounting, Auditing , Greer, Georgia