Bank Reconciliations & Data Integrity Specialist

Bridgit

Pasig

Hybrid

PHP 2,811,000 - 4,325,000

Full time

14 days+

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Benefits offered by this job

Extra Leave
Two Weeks from Anywhere
Learning and Development
Social Events

Job summary

Bridgit is a leading non-bank lender transforming how Australians access property equity, and we pioneered Buy Now, Sell Later solutions. We’re seeking a Bank Reconciliations Officer who will own reconciliations, support finance operations, and uphold data integrity across lending and treasury functions.

You’ll reconcile daily bank statements, investigate variances, maintain records, process accounts payable, and assist with month-end tasks while driving improvements through automation and AI

Qualifications

  • Bachelor's degree in Accounting or Finance is required.
  • Solid knowledge of accounting principles and reporting.
  • Proficiency with accounting software (Xero/Hubdoc/Zoho/Stripe) and strong Excel skills.

Responsibilities

  • Reconcile daily bank statements across operating and trust accounts.
  • Investigate, escalate, and resolve reconciliation variances with internal teams.
  • Maintain accurate reconciliation records and support period-end close processes.
  • Process accounts payable transactions within delegated approval limits.
  • Support the finance team with daily, month-end, and ad hoc needs.
  • Review loan file data against source documents and system records, ensuring policy alignment.
  • Contribute to improvements in pre-funding checks and data quality controls.
  • Drive process improvements through automation and AI tooling in finance tasks.

Skills

Attention to detail
Communication skills
Problem solving

Education

Bachelor's degree in Accounting/Finance

Tools

Xero
Hubdoc
Zoho
Stripe
Excel

Job description

Bridgit is a leading non-bank lender transforming how Australians access property equity, and we pioneered Buy Now, Sell Later solutions. We’re seeking a Bank Reconciliations Officer who will own reconciliations, support finance operations, and uphold data integrity across lending and treasury functions.

You’ll reconcile daily bank statements, investigate variances, maintain records, process accounts payable, and assist with month-end tasks while driving improvements through automation and AI

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