What The Role Is
Responsible for the day to day reconciliation of various bank related General Ledger and Checking Accounts.
How You will Make an Impact
Processing of all daily settlement activities required by the various networks (Mastercard, TSYS, FIS, Pulse)
Monitoring of all daily settlement reports related to unposted transactions, daily recon, interchange revenue, processing expense, and ensures accurate allocation of each line item within the Cadence Bank GL system.
Maintains settlement spreadsheets for various GL's, and provides periodic reviews to accounting and compliance as requested.
Ensure quality standards and daily processing deadlines for settlement are met
Serves as a subject matter expert for the card services department which will provide direction to new associates based on their needs
Who You Are
High school diploma or equivalent
Accounting or reconciliation experience preferred
Excellent verbal and written skills
Excellent computer and keyboarding skill
Working knowledge of Microsoft Excel and Word
Ability to work under tight deadlines
If your experience aligns with this description, please consider applying. Many skills are transferable among industries and a passion for the role and willingness to learn are important considerations. We believe that a diverse workforce creates problem-solving and creative thinking, which is why we're dedicated to adding new perspectives to the team and encourage everyone to apply.