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Reconciliation Specialist

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Responsibility

Creates and maintains appropriate job procedures

Identify areas where controls and procedures can be improved in the preparation of the account reconciliations and propose solutions

Entering appropriate information in the system and manipulating various Excel spreadsheets

Reconcile monthly reporting from banks, and vendors to ensure accurate invoicing on charges related to Final Account.

Bank reconciliations

  • Respond timely to internal and external audit requests

Qualification:

  • Knowledge of bank account reconciliation methods
  • Excellent Excel knowledge
  • ACCA / CIMA

careers@telr.com

Job Type: Full-time

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