Hybrid in Philadelphia, Pennsylvania
•
Today
We are seeking an experiencedBank Reconciliation Specialistwith strong accounting knowledge and hands-on experience withInfor (Lawson) Financials. The ideal candidate will be responsible for reconciling bank statements, analyzing financial discrepancies, and ensuring accurate cash and GL transactions. Key Responsibilities: Perform daily, weekly, and monthly bank reconciliations.Reconcile transactions usingInfor Cash Management, GL, and AP modules.Investigate and resolve discrepancies, posting is
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Contract
33 - 35





