Operations Associate
The Operations Associate handles assigned daily, weekly, or monthly reconciliations for Internal DDA and/or General Ledger Accounts for manager review. Comply with Bank's policy and procedures for clearing outstanding reconciling items. Handling of Remote Branch Capture exception transaction.
Responsibilities:
- Retrieve statements by mail, email, downloaded from web sites or FIS General Ledger reports from IS View.
- Compare debits and credits transaction of previous day, week or month from the General Ledger and/or statements and list outstanding items.
- Research and identify outstanding items for proper notification to Department or individual responsible for clearing.
- Prepare transactions for clearing corresponding Bank and 3rd party vendor entries.
- Demonstrate ability to communicate with appropriate personnel.
- Cross-training of other duties within the department as assigned.
- Research and clearing of Deposit Corrections.
Qualifications:
- High School diploma or equivalent.
- Proficiency in Microsoft Office Products (Excel, Word, Access).
- Excellent communication and organizational skills.
- Ability to multi-task and be detail oriented.
- Ability to work in a fast paced environment.
Essential Functions:
- Sitting or standing for extended periods of time.
- Sufficient dexterity of hands and fingers to efficiently operate a computer keyboard, mouse, and other computer components.
- Ability to converse and exchange information with all levels of staff within organization.
- Ability to observe, perceive, identify, and translate data.