Purpose: Responsible for a wide variety of daily accounting/operational functions within the Deposit Operations department. Duties include maintaining accounting records and preparation of general ledger and internal checking account reconciliations, including reciprocal deposit products; preparation of weekly bank regulatory reports; preparation of and filing of the Annual Unclaimed Property/Escheatment Reporting; back-up for other Operations Department functions; and assisting with data requested by internal and external auditors. Essential Duties & Responsibilities: Responsible for Maintaining Accounting Records and Preparing Reconciliations: Prepare reconciliations for Due from C
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