•Prior experience reconciling cash or cash flows, account receivables, and bank accounts independently.
•Prior experience researching and analyzing large amounts of data. Able to reconcile amounts between bank account and system balances independently. Able to research variances.
•Experience using banking systems or applications.
•Experience downloading data and manipulation of large quantities of data.
•Proficiency in Microsoft Office (Excel, Word) and General Ledger system (e.g., SAP)