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Computershare UK

Reconciliation Analyst

Computershare UK

. Complete timely reconciliations of cash bank accounts operated for corporate clients .

Posted 9/29/2026full-timeMontreal • CanadaMid-LevelSeniorWebsite

Core Competencies

Role fit
Core Competencies

Use this summary to align your resume positioning with the role.

Demonstrates expertise in account reconciliations, financial analysis, and reporting, with a strong focus on accuracy and efficiency. Proficient in using advanced Excel functions and SQL queries to manage high-volume transactions and variances effectively.

Highest-signal resume keywords
Account ReconciliationsAdvanced Excel SkillsSQL Query ExecutionFinancial Industry KnowledgeAnalytical Skills

ATS Keywords

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Applicant Tracking System Keywords

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Hard Skills
Account ReconciliationsAdvanced Excel SkillsSQL Query ExecutionAutomated Reconciliation SoftwareFinancial AnalysisVariance AnalysisData ManagementReportingTransaction MatchingEmployee Share Plan Knowledge
Soft Skills
Detail-OrientedAnalytical MindsetExcellent Communication SkillsCollaborativeMotivated to Learn
Tools & Technologies
ExcelSQLTeamsReconciliation SoftwareInternal Recordkeeping Systems
Industry Keywords
Financial IndustryCorporate Banking ServicesTransfer AgencyEmployee Share Plan ActivityHigh-Volume Transactions

Tech Stack

Tools & technologies
SQL

About the role

Key responsibilities & impact
  • Complete timely reconciliations of cash bank accounts operated for corporate clients
  • Reconcile activity related to employee share plan purchases, sales, distributions, and dividend payments
  • Reconcile high volumes of transactions from core systems and bank accounts
  • Analyze, identify, document, and update out-of-balance variances in the reconciliation system
  • Produce accurate and timely reporting for reconciliation, operational teams, the broader business, and senior leadership
  • Match related transactions and research root causes of variances
  • Notify operational units and track unresolved items through resolution
  • Follow procedures and improve the efficiency of established tasks
  • Own and respond to routine operational inquiries, escalating as needed
  • Maintain current desk operating procedures
  • Collaborate with Computershare departments to understand and resolve variances

Requirements

What you’ll need
  • Experience with account reconciliations
  • Fast learner with an analytical mindset
  • Persistent, detail-oriented, motivated to grow and continue learning
  • Advanced Excel skills, including pivot tables, VLOOKUP, and other formulas
  • Ability to understand and execute SQL queries is an asset
  • Knowledge of employee share plan activity and/or trading operations
  • Knowledge of the financial industry, such as transfer agency or corporate banking services
  • Ability to perform daily, high-volume account reconciliations using automated reconciliation software, internal recordkeeping systems, and external bank account data
  • Strong analytical skills and exceptional attention to detail
  • Excellent written and verbal communication skills
  • Ability to use Teams for virtual training, meetings, and stakeholder check-ins
  • Ability to work independently and collaboratively
  • Ability to consistently meet daily deadlines
  • College or university studies in finance, accounting, or mathematics, or equivalent — preferred

Benefits

Comp & perks
  • Flexible work to help you find the best balance between work and lifestyle
  • Health and wellbeing rewards tailored to support you and your family
  • Paid time off
  • Observed holidays
  • Vacation pay
  • Salary-to-shares purchase program with a company contribution
  • Recognition awards
  • Team get-togethers
  • Support to invest in your future
  • Welcoming and close-knit community
  • Experienced colleagues and career growth opportunities