Bank Reconciliation Specialist
Date:
24 Sept 2026
Custom Field 2:
15222
Employment Type:
Permanent
City:
CelcomDigi Tower, Petaling Jay
Description:
Responsibilities
- Perform daily, weekly and monthly bank reconciliations for assigned bank accounts.
- Ensure timely and accurate posting of MT940 bank statements and accounting entries in S/4HANA
- Investigate, resolve and clear unmatched, unidentified and aged reconciling items, and escalate material or long-outstanding items where required.
- Reconcile collections from multiple payment channels and vendor payments against bank clearing accounts
- Prepare monthly bank reconciliation reports and ageing analysis, highlighting key outstanding items and issues for follow-up.
- Support month-end and year-end closing activities to ensure timely and accurate financial reporting.
- Liaise with banks and internal stakeholders to resolve reconciliation, collection and payment-related issues.
- Ensure compliance with accounting policies, internal controls and applicable regulatory requirements.
- Identify and escalate potential control gaps and fraud risks, and support process improvement and automation initiatives.
Requirements
- Bachelor’s Degree or higher in Accounting, Finance or other related fields
- 2 - 4 years of relevant experience in finance operations, bank reconciliation, collections or cash management.
- Strong knowledge of accounting, bank reconciliation and end-to-end financial operations.
- Proficient in Microsoft Excel; experience with SAP S/4HANA or other ERP systems would be an added advantage.
- Strong analytical, problem-solving and reconciliation skills.
- High attention to detail with sound professional scepticism and judgement.
- Good communication and stakeholder management skills.
- Proficient in English and Bahasa Melayu.
Business Unit:
FINANCE
Responsibilities
- Perform daily, weekly and monthly bank reconciliations for assigned bank accounts.
- Ensure timely and accurate posting of MT940 bank statements and accounting entries in S/4HANA
- Investigate, resolve and clear unmatched, unidentified and aged reconciling items, and escalate material or long-outstanding items where required.
- Reconcile collections from multiple payment channels and vendor payments against bank clearing accounts
- Prepare monthly bank reconciliation reports and ageing analysis, highlighting key outstanding items and issues for follow-up.
- Support month-end and year-end closing activities to ensure timely and accurate financial reporting.
- Liaise with banks and internal stakeholders to resolve reconciliation, collection and payment-related issues.
- Ensure compliance with accounting policies, internal controls and applicable regulatory requirements.
- Identify and escalate potential control gaps and fraud risks, and support process improvement and automation initiatives.
Requirements
- Bachelor’s Degree or higher in Accounting, Finance or other related fields
- 2 - 4 years of relevant experience in finance operations, bank reconciliation, collections or cash management.
- Strong knowledge of accounting, bank reconciliation and end-to-end financial operations.
- Proficient in Microsoft Excel; experience with SAP S/4HANA or other ERP systems would be an added advantage.
- Strong analytical, problem-solving and reconciliation skills.
- High attention to detail with sound professional scepticism and judgement.
- Good communication and stakeholder management skills.
- Proficient in English and Bahasa Melayu.
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