Bank Reconciliation Analyst
Hybrid · Warsaw, Mazovia, Poland
Job Summary
Perform daily bank statement processing and monthly reconciliation of cash accounts; investigate unclear or unidentified transactions; support audit inquiries and provide assistance to other teams; participate in project work and automation development; act as first escalation point for the team and stakeholders; participate in daily huddles and weekly team meetings. Requires a degree in finance/accounting or related field, 1-2 years of bank reconciliation experience, English fluency, and familiarity with internal controls/SOX, with hybrid remote-work flexibility and potential travel within role expectations.
Required Qualifications
- Degree in Business and Administration, Finance, Accounting or related field
- Minimum 1-2 years of relevant working experience involving bank reconciliations and cash management
- Fluency in English
- Experience in a multinational or shared service center
- Familiar with Sarbanes Oxley Act and/or internal control concepts
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