- City of New York (New York, NY)
- …seeking to fill one (1) Staff Analyst II vacancy to function as a Sr. Bank Account & Disbursement Reconciler in the Bureau of Reconciliation and Control (BORAC). ... Office of the Comptroller, and other state and local agencies. The Sr. Bank Account & Disbursement Reconciler will: - Collect and analyze BORAC Unit reports and… more
- Deluxe (TX)
- …range of payment methods, simplifies PCI compliance and deposits money in your bank account while delivering smooth checkout experience. We are an ... and grow. Follow us on LinkedIn (http://www.linkedin.com/company/deluxe/posts/?feedView=all) RESPONSIBILITIES: The Account Executive is responsible for fostering relationships with our… more
- Mizuho Corporate Bank (New York, NY)
- …a new team member for the Reconciliations team: Responsibilities: + Perform daily nostro Bank account reconciliations using Metro CARS. + Monitor any items in ... recruitment process . Company Overview Mizuho Financial Group, Inc. is the 15th largest bank in the world as measured by total assets of ~$2 trillion. Mizuho's… more
- Bank OZK (St. Petersburg, FL)
- …Own key Association Services' client relationships to develop, maintain and grow with Bank OZK. + Provide account maintenance and servicing where necessary ... regulatory, credit, and reputational risk. + Open new accounts on the Bank 's account platform system (BPM). + Handle other administrative tasks as needed. +… more
- Bank OZK (St. Petersburg, FL)
- …the Bank . Essential Job Functions + Opens new accounts on the Bank 's account platform system (BPM). + Facilitates timely and complete acquisition, ... verification, and record retention of all new and revised account documentation. + Performs necessary CIP (Customer Identification Program) and CDD (Customer Due… more
- Tompkins Community Bank (Attica, NY)
- …and out-going mail (where applicable) + Deposit premium dollars into company bank account daily, including sweep accounts, reconcile and ensure accuracy ... adhering to the processes and procedures of our company. Responsibilities + Overall account management-utilizing TIA procedures, AMS, Image Right & all TIA systems +… more
- City of New York (New York, NY)
- …Reconciliation Unit. The selected candidate will perform the following tasks: - Reconcile bank accounts on a monthly/bi-monthly basis by: - Keeping track of aged ... all checks on replacement list and showing status in a clear manner - Matching bank clearings to paid checks - Maintaining and updating lists of checks used to fund… more
- City of New York (New York, NY)
- …Reconciliation Unit. The selected candidate will perform the following tasks: - Reconcile bank accounts on a monthly/bi-monthly basis by: - Keeping track of aged ... all checks on replacement list and showing status in a clear manner - Matching bank clearings to paid checks - Maintaining and updating lists of checks used to fund… more
- City of New York (New York, NY)
- …Reconciliation Unit. The selected candidate will perform the following tasks: - Reconcile bank accounts on a monthly/bi-monthly basis by: - Keeping track of aged ... all checks on replacement list and showing status in a clear manner - Matching bank clearings to paid checks - Maintaining and updating lists of checks used to fund… more
- City of New York (New York, NY)
- …Reconciliation Unit. The selected candidate will perform the following tasks: - Reconcile bank accounts on a monthly/bi-monthly basis by: - Keeping track of aged ... all checks on replacement list and showing status in a clear manner - Matching bank clearings to paid checks - Maintaining and updating lists of checks used to fund… more