JOB SUMMARY
The purpose of this position is to accurately prepare remittance reconciliation. This includes balancing electronic payments, autopay, and lockbox payments.
JOB DUTIES & RESPONSIBILITIES
Functional Expertise:
- Review daily and monthly payment reconciliations
- Prepare journal entries
- Prepare monthly Remittance reports
- Prepare monthly bank fee report
- Contact commercial customers, determine their EDI capability and sign them up for EDI program
- Contact brokers and vendors to pay by electronic payment file; coordinate the related testing
- Update monthly Key measurement/performance data
- Troubleshoot electronic vendor payment file issues
- Assist with resolving account reconciliation differences
- Update the bank advice database
- Contact for external and internal auditors’ questions/PBCs
- Assist in resolving Bank Reconciliation differences
Business Acumen:
- Identify and understand business issues and provide insightful reports and
data queries to assist the team with analysis and resolution
- Understand VOC impact
- Prioritize multiple reporting requests
- Communicate with outside vendors if necessary
- Analyze and interpret data completely and accurately to support or to
contradict objectives and observation
Engagement:
- Provide effective direction and communication necessary to achieve
department goals
- Demonstrate appropriate written and verbal upward communication
- Motivate to learn new skills and various Credit and Remittance processes
- Work with peers and supervisor to understand and support their objectives and
requirements
- Provide a positive and supportive environment that encourages productivity
and safety
Driving Results:
- Monitor established work goals to achieve department goals
- Utilize current and new technologies (Power BI, Pivot table, SQL Query, etc.) to optimize collections
- Validate all work assignments are reasonable and accurate
- Meet assignments and projects deadlines
JOB REQUIREMENTS
Education Requirements:
Required:
- BA/BS degree in Accounting or Finance; related work experience
OR:
HS Diploma with 2 years of accounting or finance related cash reconciliation experience
Preferred:
-intermediate level of writing SQL query
Knowledge, Skills & Abilities:
Required:
- Good organization and time-management skills
- Well-developed Interpersonal skills
- Honesty, integrity, and good ethics
- MS Office - intermediate proficiency; MS SharePoint - basic proficiency
Preferred:
- PeopleSoft – Financial
- Working knowledge of CC&B
- MSRS reports
- Power BI
Disclaimer:This information describes the general nature and level of work performed by employees in this job. The description is not designed to be a comprehensive inventory of duties, responsibilities and qualifications required in the job. Reasonable accommodations may be made to qualified disabled individuals for performance of essential duties and responsibilities.