Starter
Accounting & Finance
Posted Jul 21, 2026
Reference KNZ-T-0635
Reconcile 3 Months of Bank Statements for Small Business
Summary Reconcile 3 months of bank statements against accounting records, identifying and resolving discrepancies. Responsibilities - Match bank transactions to recorded entries in the ledger - Ident...
$120.00
Paid per completion, on approval
Turnaround
one_off
Funds
Auto-verified
40
Applications
26
Total views
11
Shortlisted
87
Spots left
Description
Summary
Reconcile 3 months of bank statements against accounting records, identifying and resolving discrepancies.
Responsibilities
- Match bank transactions to recorded entries in the ledger
- Identify unrecorded transactions and outstanding items
- Investigate and resolve discrepancies
- Prepare reconciliation report with adjusting entries
- Document all outstanding checks and deposits in transit
Requirements
- Bank reconciliation experience
- Attention to detail with financial data
- Understanding of common reconciliation issues
Schedule & Details
- Type: Remote / One-off
How to Apply
Apply with your reconciliation experience.
How this task works
Task details
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