Monthly Bank Reconciliation

Sep 4, 2026
Monthly Bank Reconciliation | Lester Chia's Portfolio | Gengen

Media
[Recreated reconciliation worksheet]

Responsibility
Handle monthly bank reconciliation for five operating accounts as part of month-end closing.

How I Work
Match bank transactions against accounting records, investigate discrepancies and follow up on outstanding items using Excel and the company's accounting system.

Scope

5 operating accounts
800–1,000 transactions / month
Completed within the month-end closing schedule

Bank Reconciliation
Financial Accounting
Excel
Month-End Closing