1-2 years accounting and reconciliation experience
Blackline balancing procedures knowledge
This role supports Cash Accounting processes including daily balancing of customer related payment activity and disbursements
Job Summary
This role supports Cash Accounting processes including daily balancing of customer related payment activity and disbursements.
The position requires completion of month-end responsibilities including journal entry preparation and reconciliations in accordance with SYF standards.
Synchrony offers best-in-class employee benefits, work-life integration programs, and career advancement opportunities focusing on diverse talent.
Matching Summary
This role supports Cash Accounting processes including daily balancing of customer related payment activity and disbursements.
Skills & Requirements
Must-have
Bachelor's degree in accounting or finance
1-2 years accounting and reconciliation experience
Blackline balancing procedures knowledge
Daily balancing of customer payment activity
Month-end close and journal entry preparation
Nice-to-have
Excellent analytical and problem solving skills
Experience with Oracle and Treasury systems
Prior banking industry experience
Strong communication skills oral and written
Ability to execute in fluctuating environment
Key Requirements
Bachelor's degree in accounting or finance
1-2 years of accounting and reconciliation experience