Job description

Qualified, professional candidates needed to prepare high-volume reconciliations and related adjustments for Employee Benefits Accounts for a large, highly respected non-profit organization.

  • Perform verification and reconciliation of all Employee Benefit Accounts
  • Review data to identify transactions that require adjustments, additions or terminations
  • Maintain appropriate reports with reconciled data
  • Effective and timely communication of monthly invoice adjustments for proper crediting or debiting
  • Ensure follow-up action with necessary parties
  • Perform other related duties as needed

What you need to have

  • Working Knowledge in Microsoft Excel required
  • Excellent communication skills are required
  • Able to achieve results effectively while working independently
Prior experience & qualifications
  • Proficiency with general Bookkeeping/Accounting principles
This opportunity requires fluency in English