Investment Operations Reconciliation Specialist

Reposted 2 Days Ago
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Overland Park, KS, USA
In-Office
Junior
Logistics • Professional Services • Financial Services • Manufacturing
The Role
Reconcile daily cash, money market, DDA and custodial positions between the trust accounting platform and banks/custodians; prepare bank reconciliations, audit reports, custodial letters; track custodial fee revenue; test and review procedures and software enhancements; provide client support and serve as backup for peers.
Summary Generated by Built In

Description

   

The Reconciliation Specialist is a member of the Technology and Reconciliation team which is responsible for the accurate daily reconciling of cash, money markets, client DDA’s and custodial positions within the trust accounting platform while providing superior customer service to our clients through effective operational system support. 

  Essential Duties/Responsibilities: 

¨ Prepare and reconcile the cash balances for 3 banking relationships with uninvested cash on trust accounting platform

¨ Prepare and reconcile positions on trust accounting platform against money market holdings

¨ Prepare and reconcile positions on trust accounting platform against 2 custodian holdings

¨ Prepare and reconcile positions on trust accounting platform against mutual fund holdings

¨ Perform daily bank reconciliations to be provided to our clients

¨ Create and distribute reports for audit packages 

¨ Prepare client custodial reconciliation letters

¨ Track and report custodial fee revenue for clients

¨ Create, update, ongoing review and testing of procedures and daily checklists

¨ Cross train and maintain working knowledge of the procedures to provide effective backups during peer absences

¨ Offers exceptional client service by providing timely analysis, research and resolution to client or CSR inquiries and issue  resolution

Other Duties/Responsibilities:

¨ Provides a timely response to client or staff inquiries or issues

¨ Participates in special projects and performs other duties as assigned

¨ Tests custom and release software enhancements related to job duties

¨ Participate in both internal and external disaster recovery tests

¨ Responsible to keep manager informed of issues impacting team

Maintain effective working relationships by handling peer and management interactions in a positive and cooperative manner 

Requirements

  Job Qualifications

Knowledge, Skills, Experience:

¨ 2-3 years of trust accounting principals and the securities industry

¨ Strong attention to detail with excellent analytical and accurate data entry skills 

¨ Ability to effectively communicate with a diverse client base of financial professionals

¨ Ability to prioritize and handle multiple tasks

¨ Ability to work in a high-volume situation with time constraints with minimal supervision

Education or Formal Training:

¨ Bachelor’s degree in Business, Accounting, Finance or equivalent experience 

Working Environment/Physical Activities:

¨ Work on a personal computer 80% of day

¨ May be asked to work weekends, holidays and overtime, as needed

¨ Work in the Overland Park, KS office

Trust Sourcing Solutions is an Equal Opportunity Employer

Skills Required

  • 2-3 years of trust accounting principles and securities industry experience
  • Bachelor's degree in Business, Accounting, Finance or equivalent experience
  • Strong attention to detail with excellent analytical and accurate data entry skills
  • Ability to effectively communicate with a diverse client base of financial professionals
  • Ability to prioritize and handle multiple tasks and work in a high-volume situation with minimal supervision
  • Ability to work weekends, holidays and overtime as needed
  • Work in the Overland Park, KS office (on-site)
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The Company
144 Employees
Year Founded: 1993

What We Do

MTC Holding Corporation is a privately-held company that operates in the investment management & financial advisory industry and the management of companies and enterprises.

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