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We are looking for a Reconciliation Specialist to join a long-term contract opportunity based in Columbia, South Carolina. This position supports critical banking operations by researching account discrepancies, resolving teller-related imbalances, and maintaining accurate general ledger activity across deposit operations. The ideal candidate brings strong banking and accounting knowledge, sound judgment, and the ability to deliver clear resolutions while managing multiple priorities in a fast-paced environment.
Job Responsibility
Conduct thorough balancing and analysis of deposit operations accounts, including teller-related ledgers, suspense accounts, and other general ledger activity
Investigate transaction variances, teller outages, and unresolved account differences, then document and communicate final resolutions to appropriate business partners
Manage operational workflows involving exception items, returned transactions, check adjustments, dormant checks, and high-value item review
Support branch and operations teams with debit card servicing, dispute handling, card maintenance, and related customer account research
Perform fraud-related review activities and help maintain compliance with Regulation E and other applicable banking standards
Process legal and regulatory items such as levies, garnishments, subpoenas, escheatment activity, and tax-related notices in accordance with policy requirements
Execute specialized banking functions that may include wire activity, foreign item handling, remittance processing, and periodic payout administration
Assist with reconciliation process enhancements, certification activities, and cross-functional operational support for online banking, treasury services, and network-related tasks
Requirements
At least 5 years of banking experience with direct exposure to reconciliations, teller operations, and deposit operations functions
Strong foundation in accounting principles, including general ledger balancing, debit and credit activity, and financial exception research
Demonstrated ability to analyze discrepancies, identify root causes, and complete corrective actions with a high degree of accuracy
Working knowledge of banking regulations, internal controls, audit expectations, and compliance practices relevant to deposit operations
Experience using banking platforms, reconciliation applications, and financial systems to track and resolve account issues
Ability to manage multiple assignments, stay detail-focused, and shift priorities effectively in a deadline-driven environment
Strong communication and collaboration skills, with the ability to work independently and partner effectively with branch, operations, and finance teams
Nice to have
Prior involvement with audit support, regulatory reviews, or core banking and reconciliation systems is preferred