- Process and post various financial transactions including cash checks credit cards and electronic fund transfers (EFTs)
- Perform daily account balancing and reconciliation across multiple platforms
- Maintain and update cross-platform databases with accurate transaction data
- Prepare and submit detailed cash management reports in a timely manner
- Verify and validate all financial entries for accuracy and compliance
- Investigate and resolve any posting discrepancies or irregularities
- Maintain organized documentation of all transactions and related correspondence
- Assist with month-end closing procedures and reporting
- Follow established internal controls and security protocols
- Communicate effectively with team members and other departments regarding transaction status
- Participate in regular system updates and maintenance procedures
- Ensure compliance with company policies and regulatory requirements
- Monitor and report any suspicious transactions or patterns
Training will be provided on site for all responsibilities.
Qualifications :
Prior posting experience preferred but not required.
Additional Information :
All your information will be kept confidential according to EEO guidelines.
Remote Work :
Yes
Employment Type :
Full-time