Job description

Seeking an experienced, diligent candidate to prepare high-volume reconciliations and make necessary adjustments to Employee Benefits Accounts for an established non-profit.

  • Completing verifications and reconciliation of Employee Benefit Accounts
  • Reviewing information and identifying transactions that need adjustments, additions or terminations
  • Maintaining required reports with reconciled data
  • Completing and submitting monthly invoice adjustments for required crediting or debiting
  • Initiating follow-up as needed with the appropriate staff
  • Performing other related duties as needed

What you need to have

  • Strong proficiency in Excel
  • Superior verbal and written communication skills
  • Ability to work independently and meet deadlines
Prior experience & qualifications
  • Very familiar with general Bookkeeping/Accounting principles
This opportunity requires fluency in English