As a Reconciliation Specialist, I am responsible for handling the reconciliation process for different accounts. This involves heavy research, Invoice, Bills and payment matching.
I am also responsible for running different reports for claims and returns, to research with customer discrepancies and verify whether the claim is valid or not. I use different tools for this process, including Citrix applications,
Excel and some Microsoft access applications. My process also involves Data entry. I have a three year working experience with the Account Reconciliation Field under the Finance Department.