Perform monthly reconciliations of high-volume bank accounts.Reconcile bank statements with General Ledger (GL) balances•Investigate, analyze, and resolve outstanding reconciling items and discrepancies• Load daily bank statement
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Reconcile daily cash receipts, deposits, electronic payments, wire transfers, and bank charges•Prepare journal entries and support documentation
📌 Bank Reconciliations Supervisor (Chennai)
🏢 Em Sol Co In
📍 Chennai
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