Cash Administration Analyst bei Sammons Financial Group
Sammons Financial Group · Sioux Falls, Vereinigte Staaten Von Amerika · Onsite
- Professional
- Optionales Büro in Sioux Falls
• Accountable for dynamic hedge requests and communications with banks and investment brokers regarding the trades and options and verifying accuracy of transactions; communicate any identified inaccuracies to the appropriate party and handle the situation in an efficient manner to ensure risk of penalties is mitigated.
• Evaluate and understand financial documents. Appropriately handle the necessary processes while understanding the implications and risk in the event of mishandling.
• Responsible for preparing, balancing, transmitting and saving Automatic Clearing House (ACH) debit and credit files, dealing with returns and National Automated Clearing House Association (NACHA) notices within, at times, tight timeframes.
• Initiate manual ACH requests and monitor transactions; handle critical communications and follow-up after the release.
• Understand the financial penalties and risks associated with the functions of the role and proactively handle all functions keeping tight deadlines and potential financial risk at the forefront of processing.
• Accountable for the handling, monitoring and communicating of credit card batch files and transaction processes.
• Balance and transmit AP credit card file; work with Accounts Payable regarding any discrepancies.
• Monitor all automated and manual incoming files and communicate any issues with programmers and business partners.
• Handle outgoing variable, tax, inter-company and miscellaneous, potentially high dollar, wire transfers on banking systems; understand the risk associated with variable handling (i.e. trades) in addition to the financial risks associated with mishandling or missed deadlines.
• Responsible for the daily disbursement and processing of checks in a timely manner under strict deadlines, including the handling of loan letters and endorsements.
• Process returns, reversals (reissue check if necessary), recalls and research items and communicate with applicable users that handle them.
• Handle rejected checks and resolve issues in a timely manner.
• Maintain Treasury Operations group mailbox correspondence and complete, research or correct any requests.
• Complete all disbursement related general ledger entries into JEEI upload daily and understand accounting requirements.
• Support Anti Money Laundering compliance initiatives by analyzing, documenting and communicating potential issues.
• Document appropriate status spreadsheets daily.
• Rotate disbursement desk functions monthly to keep knowledge and expertise current.
• Work rotation on Sammons Financial’s closed holidays when the banks are open.
• Scan and index specific disbursement activity into the library for retention; review and rotate imaged packets that have been scanned ensuring all data is intact.
• Accountable for timely and accurate completion of State Insurance Department Premium Tax Filings and State Guaranty Associations, including estimated payments, accruals, tracking, monitoring refunds and maintaining any necessary work papers.
• Responsible for projects and support, as necessary, for all disbursement related functions or any other requests made by management.
• Commitment to embrace Sammons Financial Group Companies shared values (Accountability, Connection, Openness, Respect and Integrity).
• As stated within the Company Attendance and Punctuality policy, regular attendance is required and expected in order to meet the business service levels and workflow demands.
• Other duties as assigned.Qualifications:
- Associate's Degree Required
- Minimum 2 years' Treasury background or banking experience with a bank or financial institution Required
- Organized and flexible to handle multiple tasks and meet the challenges of a changing and, at times, stressful environment
- Ability to understand and appropriately handle all components of complex work processes from start to finish
- Demonstrated collaborative team skills within and outside of Corporate Accounting; work in a positive fashion towards common organization goals
- High degree of professionalism required in all interactions
- Must be detail oriented
- Proven ability in exercising good judgment
- Ability to work proactively and handle any foreseeable challenges
- Must be able to successfully perform in a deadline driven environment with the understanding that mishandled transactions could result in financial consequences for the organization
- Excellent written and oral communication skills
- Proficient mathematical ability and bookkeeping skills
- Proficient PC and Microsoft Office skills
- Must be able to work a department schedule based on financial institution (i.e. bank) and stock market hours
• FINRA regulations require fingerprinting for this position. Management reserves the right to determine and approve incumbent suitability for this position.
Company Information:•Sammons Financial Group offers a competitive benefit package that includes: Health, Dental, Vision, Company Paid Retirement, PTO and Holiday Pay.
•Our Employee Stock Ownership Plan (ESOP) is a 100% company-funded retirement plan, so you can save for retirement without contributing a penny of your own paycheck.
•Healthy balance between work and personal lives. Friday afternoons off all year long, competitive PTO, and generous number of paid holidays.
•Our incentive program for defined goals subject to eligibility and performance. Monetary rewards are based on individual and/or overall company performance.
•Colleagues who support one another, model our core values, and drive our healthy, high-performing culture.Pay Range:USD $36,733.00 - USD $76,526.00 /Yr.Work Authorization/Sponsorship:At this time, we’re not considering candidates that need any type of immigration sponsorship now or in the future or those needing work authorization for this role (This includes, but is not limited to students on F1-OPT, F1-CPT, J-1, etc.) Jetzt bewerben