staff reimbursements for management review. Employee Benefit Bank Reconciliation: Capture transactions salaries and benefits bank accounts. Reconcile employee benefit bank accounts on a daily basis, investigating
staff reimbursements for management review. Employee Benefit Bank Reconciliation: Capture transactions salaries and benefits bank accounts. Reconcile employee benefit bank accounts on a daily basis, investigating
experience in fund accounting within the Employee Benefits space. (non-negotiable) Good report writing
experience in fund accounting within the Employee Benefits space. (non-negotiable) Good report writing
accurately reflect hours worked by employees. Deductions and Benefits: Handling deductions for taxes, insurance