To ensure accurate and timeous reconciliation of bank and GL cash accounts. Deliver accurate and timeous bank account and GL reconciliations. Actively resolve outstanding reconciling items timeously for GL Accounts Monitor and resolve ReconAssist Store and Online card exceptions. Monitor and resolve
To ensure accurate and timeous reconciliation of bank and GL cash accounts. Deliver accurate and timeous bank account and GL reconciliations. Actively resolve outstanding reconciling items timeously for GL Accounts Monitor and resolve ReconAssist Store and Online card exceptions. Monitor and resolve