- Woodforest National Bank (The Woodlands, TX)
- …a part of one of the largest employee-owned banks in the country! The Reconcilement Specialist I is responsible for providing administrative and customer service ... or regulation. **Job:** **Operations* **Organization:** **Texas - Houston* **Title:** * Reconcilement Specialist I* **Location:** *Texas-The Woodlands* **Requisition… more
- Regions Bank (Hoover, AL)
- …section of the system. **Job Description:** At Regions, the Bank Operations Reconcilement Specialist is responsible for the daily and weekly reconciliation ... of payments and transfers. **Primary Responsibilities** + Prepares daily and weekly reports to review all incoming transfers + Ensures all open items are prioritized and reviewed + Ensures all queries are logged and up to date in the appropriate systems +… more
- First Horizon Bank (Memphis, TN)
- …serving their customers one opportunity at a time. **Summary:** The ATM Operations Specialist role is responsible for supporting the ATM fleet in the following ... capacities: reconcilement of ATM cash and ATM deposits, ATM monitoring,...RESPONSIBILITIES** + Currency ordering for Loomis serviced ATMs + Reconcilement of Loomis serviced ATM deposits and dispenser (cash… more
- City National Bank (Los Angeles, CA)
- *LOAN BALANCING SPECIALIST * WHAT IS THE OPPORTUNITY? This position is responsible for balancing and reconciling all "pass-through" loan accounts. Responsibilities ... any correcting entries that may be required. * Reviews FIS reports for reconcilement of loan asset account balances. Researches and passes any correcting entries… more
- Needham Bank (Needham, MA)
- …the NACHA operating rules in a timely and accurate manner. + Support IRA Specialist - all IRA accounts have proper documentations, fully compliant and in adherence ... levies, garnishments, etc. + Responsible for the annual reporting and reconcilement of Abandoned Property + Monitor/generate and review overdrawn account reports,… more
- FirstBank PR (Miami, FL)
- Operations Specialist Job Summary: Loan Operation Specialist performs a variety of routine and non-routine operational duties and provides support in operations ... service conducting daily data integrity and input. The Loan Operations Specialist projects a professional image through phone interaction, demonstrating deep… more
- Adecco US, Inc. (Monterey Park, CA)
- …currently assisting one of its clients in their search for a **Processing Specialist in Monterrey Park, CA!** Pay rate: $17.00/hr Shift availability: Mon, Tue, Wed, ... role, click on Apply Now and upload your resume.** The **Processing Specialist ** position performs complex sorting and decisioning of non-standard or rejected… more
- Kelly Services (Farmington Hills, MI)
- …devices. This includes replenishment cash scheduling and ordering, device level reconcilement , creating and clearing general ledger entries timely, completing ITM ... skills to make a meaningful impact. Apply today to become a Cash Services Research Specialist at Kelly(R)! As part of our promise to talent, Kelly supports those who… more
- Cambridge Savings Bank (Waltham, MA)
- POSITION: Wire Services Specialist Summary: At Cambridge Savings Bank, our purpose is to have a positive impact on our customers, employees, and community's ... comply with regulatory requirements and are properly vetted. + Assist with end-of-day reconcilement of all incoming and outgoing wire activity. + Demonstrates a high… more
- Truist (Coral Gables, FL)
- …Pay support duties may include but are not limited to account reconcilement , balancing, and posting, production of reports, and other account processing activities. ... Serves as client facing teammate and provides client support and problem resolution via email and telephone for Bill Pay and Financial Management clients. Has authorization to act on client's behalf with client vendors, creditors, and other agencies.… more
- Discover (Houston, TX)
- …to manage PULSE fee billing, gateway billing, switch invoice billing and Fee reconcilement . + Provides support as needed to internal and external audit entities ... related to the fee billing processing. + Manages fee billing resources and processing related to the support of the process fee billing and daily funds, fees, and adjustment settlement. + Provides processor billing system training and system documentation to… more