Cincinnati, OH, US, 45202
Reconciles various accounts to include General Ledger, Deposit and Loan accounts. Performs research related to account exceptions.
• Ensures accurate preparation and timely resolution of reconciliation account exceptions to meet established department Service Level Agreements SLAs.
• Communicates with internal divisions/departments regarding outstanding exceptions, following established escalation procedures.
• Clears discrepancies identified in the balancing process. Posts and maintains nonmonetary financial transactions to the general ledger and various systems.
• Periodically reviews department documentation as assigned.
• Recommends process improvements to enhance efficiency, quality and customer service.
• Team member is expected to be aware of risk within their functional area. This includes observing all policies, procedures, laws, regulations and risk limits specific to their role. Additionally, they should raise and report known or suspected violations to the app
Nearest Major Market: Cincinnati