Cash Control Resume Samples

4.5 (118 votes) for Cash Control Resume Samples

The Guide To Resume Tailoring

Guide the recruiter to the conclusion that you are the best candidate for the cash control job. It’s actually very simple. Tailor your resume by picking relevant responsibilities from the examples below and then add your accomplishments. This way, you can position yourself in the best way to get hired.

Craft your perfect resume by picking job responsibilities written by professional recruiters

Pick from the thousands of curated job responsibilities used by the leading companies

Tailor your resume & cover letter with wording that best fits for each job you apply

Resume Builder

Create a Resume in Minutes with Professional Resume Templates

Resume Builder
CHOOSE THE BEST TEMPLATE - Choose from 15 Leading Templates. No need to think about design details.
USE PRE-WRITTEN BULLET POINTS - Select from thousands of pre-written bullet points.
SAVE YOUR DOCUMENTS IN PDF FILES - Instantly download in PDF format or share a custom link.

Resume Builder

Create a Resume in Minutes with Professional Resume Templates

Create a Resume in Minutes
LR
L Rowe
Lisette
Rowe
4265 Dulce Canyon
Boston
MA
+1 (555) 910 8362
4265 Dulce Canyon
Boston
MA
Phone
p +1 (555) 910 8362
Experience Experience
Los Angeles, CA
Cash Control Supervisor
Los Angeles, CA
Buckridge, Borer and Pollich
Los Angeles, CA
Cash Control Supervisor
  • Assist with the hiring, scheduling, and supervising of cash room team members
  • Follow opening and closing procedures as detailed in the department’s operating plan
  • Document, investigate and report overages and shortfalls according to Merlin Entertainments, plc cash handling guidelines
  • Maintain, verify, and balance cash drawers, including accurate and proper trail balancing throughout the day
  • Approval and documentation of all significant variances resulting from till, vault, or other teller audits
  • Assist in the training and development of the Cash Control Team Members
  • Consistently monitor all cash handling policies and procedures for compliance
New York, NY
Cash Control Representative
New York, NY
Flatley Group
New York, NY
Cash Control Representative
  • Assisting with reporting to Accounting
  • Resolve and report lock box and office cash receipt issues to management
  • Working closely with front end office staff on DBS
  • Work with BLP Cash Team to ensure proper coding, posting, clearing of various refund checks
  • Prepare monthly management summary report of reconciling items
  • 1 on 1 bi-weekly meetings with Billing Manager
  • Tracking and distributing receipts and books to Office Financial Manager
present
Detroit, MI
Cash Control Specialist
Detroit, MI
Boyle, Goldner and Rolfson
present
Detroit, MI
Cash Control Specialist
present
  • Manual check posting, unapplied funds posting, and lockbox mail opening and keying
  • Post Reconciliation Worksheet to Cash Management Tool, centres bank statement into Cash Posting Summary, enters data into the reconciliation tool, filing and ensures that bank totals within the Cash Management Tool balances to the Bank Statement, runs various reports to data to the Reconciliation Tool
  • Perform complex dta anaylysis, providing results to management team
  • Daily processing of return checks, bank adjustments, and encoding errors
  • Accurate and timely payment posting of wires and miscellaneous checks
  • Works with accounting and finance to resolve GL, and posting issues
  • Responsible for preparing and populating the daily payment and LKE spreadsheets
Education Education
Bachelor’s Degree in Accuracy
Bachelor’s Degree in Accuracy
Columbia University
Bachelor’s Degree in Accuracy
Skills Skills
  • Strong presence with ability to interact with Senior Leadership
  • Strong knowledge of generally accepted accounting principles and internal control
  • Ability to work well within a team and a fast-paced, dynamic environment
  • Strong communication skills
  • Strong Excel skills
  • Independent worker and analytical thinker with ability to conduct research, data analysis and resolve complex problems
  • SAP/Business Warehouse knowledge
  • Strong work ethic with a positive, can-do attitude
  • Demonstrated high performer
Create a Resume in Minutes

9 Cash Control resume templates

1

Senior Administrator, Client Cash Control Resume Examples & Samples

  • Daily review and management of client overdraft
  • Prepare and Review of and collation of Operations client overdraft reporting
  • Gather overdraft data and prepare summary report manager for approval of overdraft within Operations authority limits and identify any areas requiring escalation
  • Assist the Manager on ad-hoc projects when required
  • Ensure that there is global consistency to Overdraft Policy within RBC I&TS
  • Mandate will be expanded over time to cover broader cash control activities
  • Ensure data integrity and thoroughness of management reports
2

Manager Client Cash Control Resume Examples & Samples

  • Operations management of client overdraft
  • Review of and collation of Operations client overdraft reporting
  • Approval of overdraft within Operations authority limits
  • Escalation of overdrafts to GTCM
  • Point of contact for GTCM
  • Producing high quality management information reports
  • Assist in ad-hoc projects when required
  • To ensure that there is global consistency to Overdraft Policy within RBC I&TS
3

Cash Control Representative Resume Examples & Samples

  • Bank Reconciliations
  • Prepare monthly reconciliations for assigned portfolio of worldwide bank accounts
  • Review monthly bank reconciliations prepared by other teammates
  • Interface with internal Bloomberg and external organizations globally to resolve reconciling items; escalate items unable to be resolved as appropriate to team leader and accounting management
  • Prepare monthly management summary report of reconciling items
  • EBS (SAP electronic banking system)
  • EBS post process for failed bank transactions including research, coding and posting for North America, Latin America, Asia and Europe
  • Monitor the Funds-In Transit and the outgoing accounts
  • Coordinate with BLP Accounts Payable for posting of automatic bank debits in order to clear the outgoing payments General Ledger account
  • Work with BLP Cash Team to ensure proper coding, posting, clearing of various refund checks
  • Support production of the monthly reporting and analysis package using SAP
  • Preparing mapping for accounts to be implemented with EBS
  • Support implementation of EBS automated cash posting process
  • Set up New accounts in SAP
  • CPA/MBA preferred
  • Experience performing bank and account reconciliations in an SAP environment is highly desirable
  • SAP R3 experience highly preferred (specifically EBS)
  • Ability to work well within a team and a fast-paced, dynamic environment
  • Strong work ethic with a positive, can-do attitude
  • Independent worker and analytical thinker with ability to conduct research, data analysis and resolve complex problems
  • Strong presence with ability to interact with Senior Leadership
4

Ops Specialist Cash Control Resume Examples & Samples

  • Process Review – Review checks, wires, ACH’s, deposits, and journals for Quality, Risk, and to mitigate Fraud. Daily tasks must be completed in a deadline-driven environment
  • 70 %
  • Error Tracking - Logging, tracking and reporting of errors as well as communicating escalations or suspicious activity
  • 15 %
  • Report review– Reviewing reports to confirm that items are being processed in conjunction with the firm’s policies and procedures
  • 10 %
  • Continuous Learning –Keeping up to date on new processes and controls, actively participating in daily huddles and monthly department and other meetings
  • 5 %
  • Communication – Effectively communication with teammates and management team to address issues and needs
  • Microsoft Excel – Compiling and communicating data
  • Microsoft Access – Creating and managing various databases
  • BETA – Books and Records platform where we perform most of our duties
  • IBPM
  • SharePoint
  • Communication – Must communicate effectively and efficiently with team and other Operational Groups
  • Multi-Tasking – Must be able to work in a fast paced deadline driven environment
  • Organization – Must be able to prioritize responsibilities to ensure deadlines provided by regulators and firm are followed
  • Analytical – Must be able to identify and manage firm risk
5

Cash Control Assistant Resume Examples & Samples

  • Daily reconciliation of the bank accounts and movements are matched
  • Investigate and action any discrepancies on the account, including reporting to team lead when necessary
  • Ensure Direct Debit vendors are posted and cleared daily
  • Review unknown movements with the bank account manager
  • Postings on SAP
  • Compile Cash Reports at month-end
  • IATI, Qualified or Part-qualified. Minimum of one year completed
  • 2+ Years' experience in a similar position
  • Interpersonal and a strong communicator
  • Ability to form strong relationships across different teams
6

Supervisor Cash Control Resume Examples & Samples

  • Set-up Events and assign cashiers to bags
  • Assign nightly responsibilities to the cash control clerks on duty
  • Ensure that cash runs to the Theater; when requested by Stand Level Supervisor; are performed in a timely manner
  • Ensure that cash pick-ups are performed on schedule
  • Review and approve all Cash Differences in excess of $5.00
  • Sort and maintain separate files of the various charges, cash tickets, and proof sheets that are produced for each event
  • At the end of the night, remove the coin and small bill currency to replenish the cash vault for the start-up “banks” issued to the cashiers at the beginning of the shift
  • Ensure that the funds deposited for the day’s events agree to the totals provided
  • Verify that the cash vault proves and the end of the shift
  • Verify that the individual cash deposits prepare by the cash control clerks are posted to the Rapid Armored receipt correctly and the dollar value of the deposits agree to the Event records
  • Secure the Money Room before leaving at the end of the day (lock vault, set ADT alarm system, lock doors etc..)
  • Computer Skills
  • Cash Handling Experience
7

ETD Operations Cash & Control Manager Resume Examples & Samples

  • Perform daily reconciliation of trades, positions, margins and cash versus the exchanges and carry brokers
  • Computation and segregation of clients' funds
  • Monitoring of margins and positions limits including escalation of any excesses
  • Prepare and submit exchange and regulatory reporting; daily/weekly/monthly management and control reporting
  • As the AVP of the group, your key responsibilities include but not limited to the following
  • Support VP in the day-to-day management of ETD Ops Control functions
  • Closely monitor and escalate to regional management any trading errors, exchange breaks and ensure that all trades are correctly booked and cleared
  • Closely partner with the business on new market and client service excellence initiatives
  • Monitor market/exchange developments and work with business, technology and other groups to implement new processes and systems
  • Support exchange and regulatory requirements including internal/external audits
  • Minimum of 6-10 years experience in Operations
  • Proven management track record and strong leadership capabilities
  • Solid knowledge of key industry futures systems, e.g. Clearvision, GMI and Intellimatch is a plus
  • Additional language skills such as Japanese, Chinese and Bahasa is a plus as the team deals with clients who only speaks these languages
  • Strong team player who works well in a global and regional team environment
  • Positive attitude with ability to motivate and inspire team
8

Team Member, Cash Control Resume Examples & Samples

  • Provide information on standard products and services
  • Identify client or advisory requests and respond in an effective timely manner
  • Provide quality client service consistent with our firm's standards and business values
  • Action requests received by applying standard procedures and escalate non-standard requests to senior analyst or specialist
  • Maintain files and ensure all appropriate documentation and information is accessible at all times
  • Contact advisers directly (or clients where appropriate) to obtain further information or clarity of issues/information as appropriate
  • Liaise with key stakeholders to ensure that clients and advisers receive optimum service at all times
  • Strategically challenge current processes with a view to improve and develop a more streamlined approach
  • Ensure we are always compliant with internal and external regulators, policies and procedures
  • Prepare work for third party regulators
  • Works closely with various parts of the business internally and externally
  • Performs account maintenance and administrative duties
  • Perform all duties outlined in the individual development plan and adhere to business capabilities outlined in the scorecards
  • Escalate issues to appropriate Team Leader and or specialist as soon as practicable
  • 0 – 3 yrs experience in a preferred industry related experience with another Financial Service Provider
  • Ideally will have experience in a professional environment
  • Degree and/or a Professional industry related course
  • Demonstrates an awareness of the economic environment in relation to financial markets in which we operate
  • Demonstrates an awareness of regulatory/compliant obligations
9

Cash Control Clerk Resume Examples & Samples

  • Sort currency, coin and other tenders (Coupons, food vouchers, gift certificates) keeping track by bag number and deposit tickets. Count drops by cashiers
  • Prepare next event banks and place money bags in vault for distribution to cashiers at next event
  • Perform pickup in the theatre during events to pick up excess cash at each stand and return collected cash to Money Room
  • Compare bag/stand deposit ticket prepared by cashier and note any discrepancies on deposit ticket. Prepare deposit when all money bags have been counted
  • Perform opening vault count which includes recounting and proving out the cash/coin stored in the vault with the previous days Vault Summary Sheet. Fill out current Vault Summary sheet at the end of shift if needed
  • Put all cash deposit tickets in order and collect all credit card charge receipts which will be handed to supervisor at end of shift
  • Make necessary money runs to Theatre when requested by Supervisors
  • Keeps money room organized, stocked and clean
  • Minimum of one year of cash handling and/or transactions experience within a fast paced environment
  • Strong communication and organizational skills with strong attention to detail
  • Proficient in Microsoft Office (Word, Excel)
  • Flexible to work days, evenings, weekends, and holidays as required
10

Senior Finance Assistant Sales to Cash Control Accounts Resume Examples & Samples

  • Leading and directing key meetings with key stakeholders where relevant
  • Driving improvements in effectiveness, efficiency and control
  • Delivering excellent customer service in support of our commercial business partners across M &S
  • An Accounting background, studying towards a CIMA / ACCA qualification is preferred
  • Must be comfortable comparing high volumes of data in different systems
  • Strong communication skills and attention to detail are essential
  • The ability to meet deadlines and effectively prioritise workload with a flexible & proactive approach is crucial
11

VP-listed Derivatives Reconciliations & Cash Control Manager Resume Examples & Samples

  • Oversee the day-to-day management of ETD Ops Control functions
  • Ongoing talent development including goal setting and evaluation
  • Monitor market / exchange developments and work with business, technology and other groups to implement new processes and systems
  • Participate in change initiatives designed to increase Operations scalability and controls
  • Support exchange and regulatory requirements including internal / external audits
  • Minimum 6-10 years experience in Operations
  • Innovative in devising support solutions and improving processes
  • Hands-on manager who can lead without being a micro-manager
12

Cash Control Team Member Resume Examples & Samples

  • Unloading trucks
  • Receiving goods
  • Stocking shelves
  • Pulling orders
  • Delivering to destination
  • Physical inventories
13

Cash Control Assistant Resume Examples & Samples

  • Provide courier service of money and documents within company property. Ensure timely delivery of change bags to appropriate locations daily. Assist in all cash handling needs of sales departments
  • Process and wrap loose coin as needed
  • Monitor and order cash and coin needed for daily vault operation from bank vault
  • Perform field audits for sales departments as needed. Ensure proper controls and company policies are adhered to within company
  • Process credit card report for Controller at the end of each month
  • Sort deposit slips and credit card receipts daily for archiving
  • Monitor and order as needed, all office and vault supplies as needed for daily operation
  • Process A/R checks for deposit
  • Requires a minimum of two years’ experience in a cash handling environment
  • Knowledge of Cummins systems a plus
  • Computer literate in Microsoft Excel and Word
  • Must be a detail oriented individual with strong organizational skills
  • Requires the ability to self- initiate work with minimal direct supervison
  • Ability to build and maintain cooperative working relationships with members of all departments within the organization
  • Experience in banking or cash environment a plus
14

Raging Waters Sd-cash Control Resume Examples & Samples

  • Prepare the change funds to be handed out to cashiers
  • Count daily park receipts and prepare deposit
  • Generate daily revenue/attendance reports
  • Perform cash advance pickups in park and prepare deposits
  • Perform daily audits in park to deter theft
  • Investigate any material shortages or irregularities
  • Daily vault countdowns
  • Prepare change orders
  • Assist cashiers in cashing out
  • Prepare locker and other miscellaneous deposits
  • Performs other job related duties as assigned
  • Prior computer data entry experience helpful
  • Experience with 10-key calculator
15

Raging Waters Sac-cash Control Resume Examples & Samples

  • Assist cashiers in cashing out to determine over/shorts
  • Prepare deposits
  • Daily vault count
  • Other duties as assigned to support the park
  • Excellent customer service skills, ability to interact effectively with a diverse array of team members and desire to assist with and resolve questions, problems, issues and concerns
  • Strong communications, problem-solving and analytical abilities
  • Flexible schedule availability, including holidays and weekends
  • Ability to work independently and as part of the Cash Control team
  • Previous office experience preferred with strong computer skills and basic knowledge of
16

Cash Control Lead Resume Examples & Samples

  • Maintain, supply, service, and assist with operation of cash recyclers, for daily use by cash handling employees throughout resort
  • Sorts, counts and processes nightly deposit bags for Park and Hotel Revenue Centers
  • Fill change requests from nightly deposit bags mentioned above
  • Prepares currency and checks for transfer to bank
  • Audit Guest Services staff paperwork, logging occurrences for further follow-up
  • Process and log daily vouchers received from Admissions department
  • Process ticket requests for Marketing, Sales, and Trades
  • Rotate outdated archives in preparation of shredding, on a regular basis
  • Supervise Cash Control Assistants in daily operation
  • Assist in compiling daily and weekly resort flash reports, as needed
17

Home Care PFS Cash Control Representative Resume Examples & Samples

  • Responsible to post all receipts for Home Care and reconcile with daily deposits
  • Responsible to record monthly advance payments and reconcile with the cash log
  • Responsible to provide month end cash reports and ensure monthly activities are reconciled with the bank statement
  • Provide management with payor issues on a timely basis. Update the payor issue spreadsheet provided by management on a consistent basis
  • Assist in obtaining/maintaining department cash goals
  • Follows CHOP, CHHC policy and all regulatory and accrediting agency guidelines as it relates to providing home care reimbursement practices
18

Raging Waters Sac-cash Control Lead Resume Examples & Samples

  • Coach and counsel Cash Control team members
  • Count and record park attendance
  • Assist with the giving and collecting cashier tills at the beginning and end of shifts
  • Generate reports to determine over/shorts
  • Collect, count and organize vouchers
  • Walk the park and monitor cashiers activity
  • Ability to address multiple tasks and priorities in a fast paced environment
  • Excellent customer service skills, ability to interact effectively with a diverse array
19

Cash Control Team Member Resume Examples & Samples

  • Responsible for picking up currency from games, admissions, food and merchandise stands any time during the day
  • Collecting and transporting tickets from main gate admissions
  • Transport coins, currency and tickets, which includes lifting banks that weigh 50+ lbs
  • Must be mobile and agile in order to get to each facility
  • Responsible for opening safes, using keys, and pushing hand trucks and carts
  • Responsible for sorting and scanning redeemed park admissions tickets
  • Properly operate various machinery involved in sorting, verifying and packaging coins and currency
  • Ensure the proper handling of cash
  • At least 18 years of age
  • Must have a valid driver's license
  • Able to communicate effectively in the English language, including the ability to read, write, speak and understand the English language
  • Available to work flexible hours at night and weekends
20

Cash Control Team Member Resume Examples & Samples

  • Performing cash pickups of cashier's money from shops and stands throughout the park
  • Verifying all items (money, accounts receivable, credit cards slips, etc.) collected during cash pickups or turned in by the cashiers each day
  • Balance all tills turned in to Cash Control, determining each cashier's over/short for the day
  • Prepare daily deposit to be sent to the bank
  • Refill till bags and wrap coins in preparation for the next operating day
  • Enter all till information into Windows based system verifying that accurate information is being keyed
  • Be very detail oriented
  • Possess cash handling or park experience
  • Be available to work late evening hours, ending 3 to 4 hours after the park closes
  • MUST have weekend flexibility
  • All applicants are subject to police record, credit history and reference checks being performed by Six Flags prior to being offered this position
21

Cash Control Agent Resume Examples & Samples

  • Ensure proper safeguard of Park assets by following policy and procedures
  • Follow Department of Labor standards in the department and Park
  • Follow the Park and department grooming policies
  • Support the Mantra and goals of Six Flags
  • Perform Park runs to In-Park locations
  • Prepare cash/check bank deposits
  • Assist in the data entry of sales and revenue of tills
  • Assist in the collection and reconciliation of cash drops
  • Assist in checking out/in tills in the Park
  • Assist in the reconciliation of loose/rolled coin of tills bags
  • Assist in the balancing of Park Till Fund
  • Process incoming ATM cash shipments and replenishments
  • Assist in the delivery of cash and coin to the Games Department
  • Assist in general office filing and record retention
  • Other duties as assigned by Lead, Seasonal Supervisor, Sr. Seasonal Supervisor and FT Supervisor
  • A high school diploma or equivalent (GED) with 1-2 years previous cash handling experience preferred
  • Multi-shift experience preferred
  • Excellent communication and problem solving skills
  • Computer proficiency with a working knowledge of Word and Excel
  • Operate calculator and office machine equipment
  • Ability to work in a demanding, fast-paced environment
  • Ability to work a flexible schedule that includes nights, holidays and weekends
  • Must be professional, self-motivated, and have an enthusiastic attitude
  • Must have strong teamwork skills and the ability to work with others
  • Must possess strong work ethic and the ability to multi-task
  • Excellent ability to communicate in oral and written forms
  • A valid California Driver's License is also required to operate company vehicles
  • Must meet physical requirements of the job by being able to lift and carry 50 pounds, frequent standing, bending, walking in conjunction to doing repetitive motions in daily tasks
22

Cash Control Specialist Resume Examples & Samples

  • Responsible for opening all mail containing customer payments received in Libertyville. Verifying that each check has an account number and is immediately negotiable. Updating customer account when appropriate
  • Responsible for preparing and populating the daily payment and LKE spreadsheets
  • Assist with researching and/or pulling check copies and processing Western Union checks
  • Contacting customers by mail or phone concerning resolution of problems surrounding damaged or incorrectly made out checks
  • Creatively uses all database tools to research and identify checks without account numbers
  • Confidently and quickly inspects each check to weed out those that may be fraudulent or non-negotiable
  • Uses comprehensive knowledge of a multitude of reasons money is sent to the Service Centers to ensure it is identified correctly and applied appropriately
  • Assists in the preparation of the daily bank deposit and General Ledger vouchers
  • Additional duties as assigned by the Cash Control Supervisor including projects and IT testing and troubleshooting with the RDC machine to ensure deposits are accurately deposited within bank and federal regulations
  • Strengthening customer retention work efforts by delivering superior level customer service
  • Ensuring that cash applications team adheres to Cash Control internal control matrix to mitigate company’s risk and or loss
  • Assist in daily and monthly cash reconciliation against our bank statement to ensure deposits are accurately maintained and credited to general ledger
  • Performing risk and cost benefit analysis with current department process and process improvement ideas for department
  • Revising and maintaining policies and procedures of cash application in ensuring that they meet changing business requirements for Cash Control on quarterly basis due to bank and federal laws
  • Evaluating continually the efficiency of operational controls and procedures to maximize departmental production and minimize faults made by staff
  • Having the propensity to lead teams by making changes to tasks based on priorities and to mitigate risk in absence of Financial Services management team
  • 3-5 years’ experience of cash management transactions including cash deposits, cash receipts, and daily reconciliation of transactions from all business units from VCI, VWGOA, customers and vendors to determine proper disposition and credit the general ledger accurately
23

Cash Control & Accounting Analyst Resume Examples & Samples

  • Manage cash receipt application in Oracle per customer and collector communication
  • Work with America’s and International banking detail, Wells Fargo and Citibank
  • Applications must occur within 24-48 hours of cash receipt
  • Reconcile bank deposits to Oracle applications to ensure all cash is accounted for
  • Run Oracle Aging Report and Unapplied Cash Report
  • Share and cross-train on weekly, monthly and quarterly AR Reporting requirements
  • Credit Card reconciliation and cash application
  • AR Adjustments and write-offs
  • Support month and quarter-end close process
  • Support accounting team’s month-end close process
  • 5-6 years of work in hi-tech industry
  • Business and Accounting degree or equivalent work experience
  • Oracle ERP experience
  • Excel and word skills
  • Strong interpersonal communication skills, ability to communicate effectively and team with all levels of management. This includes written and verbal communication skills
  • Strong problem solving skills and detailed oriented
  • Through knowledge of the sales quotation to invoice and cash collection process
  • LI-MK1
24

Cash Control Representative Resume Examples & Samples

  • Setting up and distribution of posting batches
  • Entering batch amounts for pre-deposits and lockbox
  • Reporting daily posting figures for office locations
  • Process credit card transactions
  • Direct check processing, printing and deposit
  • Daily deposit of mail tapes
  • Working closely with front end office staff on DBS
  • Tracking and distributing receipts and books to Office Financial Manager
  • Tracking and balancing incoming funds with the Daily Balance Sheet
  • Logging Electronic Funds Transfer amount transactions
  • Resolve and report lock box and office cash receipt issues to management
  • Process Non Sufficient Funds checks
  • Assisting with correspondence
  • Assisting with reporting to Accounting
  • 1 on 1 bi-weekly meetings with Billing Manager
  • Monthly written progress reports to Billing Manager
  • Basic computer (Windows 95), Microsoft Office, Excel and Word knowledge is required
  • Typing is required
  • Good Organizational skills are required
  • Medical Manager/Integy knowledge is preferred
  • Previous experience working in a medical billing environment preferred
25

Cash Control Specialist Resume Examples & Samples

  • General Cash Control responsibilities in a fast-paced environment, where multi-tasking is key to ongoing success
  • Daily Fiserv task queue management for loans in Bankruptcy, which includes processing of reversals and reapplications, unapplied funds, administrative adjustments and write offs
  • Process Trustee Checks to Bankruptcy loans and apply based on policy and procedures
  • Accurate and timely payment posting of wires and miscellaneous checks for loans in Bankruptcy
  • Expertise in Bankruptcy, specifically related to Trustee Checks, Post-Petition, Pre-Petition, and Agreed Orders
  • 1+ years of previous Banking, Accounts Payable, or Accounts Receivable experience
  • Current, working knowledge of the Microsoft Office suite, including: Word, Excel, Access and PowerPoint
  • Ability to accurately 10-key by touch with at least 10,000 KPH
  • Available to work over-time as requested and required by business need and communicated by your manager
  • Experience with Fiserv, Aspect or similar systems is desired
  • 1+ years of experience in a lending environment is desired
  • Fluency in multiple languages desired
26

Cash Control Specialist Resume Examples & Samples

  • General customer service responsibilities in a fast-paced environment, where multi-tasking is key to ongoing success
  • Daily Fiserv task queue management, including processing of the following: returned payments, items in the reversals queue, fee waivers, and charge & write-offs
  • Daily processing and reconciliation of ACH letters
  • Process daily set-up, cancellations, and changes to Automated Clearing House (ACH) payments
  • Processing and submission of ACH letters to CHL customers
  • Process payment posting transactions, reversals, and reapplication based on policy and procedures
  • Accurate and timely payment posting of wires and miscellaneous checks
  • Daily processing of return checks, bank adjustments, and encoding errors
  • Manual check posting, unapplied funds posting, and lockbox mail opening and keying
  • Must possess expert skills in Microsoft Excel, including the ability to utilize the following functions: V-Lookup, H-Lookup, Concatenating formulas, Conditional Formatting, and Pivot Tables
27

Cash Control Supervisor Resume Examples & Samples

  • Lead by example. Coach, motivate, train and lead the cash office team to ensure the integrity of the cash room and the highest standards of accurate and efficient cash handling procedures are followed
  • Assist with the hiring, scheduling, and supervising of cash room team members
  • Ensure all voucher redemptions, cash receipts, and reports are recorded and reconciled on a daily basis
  • Provides teller service to hosts and staff throughout the shift
28

Cash Control Supervisor Resume Examples & Samples

  • Assist in the training and development of the Cash Control Team Members
  • Consistently monitor all cash handling policies and procedures for compliance
  • Assist management in making accurate bank and non-bankable receipts
  • Responsible for proper direction and compliance for all vault transactions
  • Approval and documentation of all significant variances resulting from till, vault, or other teller audits
  • Assist with departmental inquires as needed concerning investigative issues and problem resolution. * Motivates Team Members to perform at an efficient level
  • Helps maintain a clean work environment
  • Responsible for special projects and other duties as assigned
  • Minimum 2 years experience in a cash-handling field
  • Excellent organizational, communication, computer and problem solving skills
  • Must be able to work in a fast paced environment
  • A strong sense of teamwork and a positive attitude
  • Must be detail oriented, highly motivated and a demonstrated leader
  • Must be able to work a flexible schedule including nights, holidays, and weekends
29

Finance Analyst Sales to Cash Control Accounts Resume Examples & Samples

  • Full understanding of all business transactions & systems impacting S2C reconciliations
  • Design and implement a process to verify balances within balance sheet reconciliations
  • Proactively taking action to resolve complex reconciliation issues
  • Ensuring financial control is delivered at all times
  • Delivering excellent customer service in support of our commercial business partners across M&S
  • Support, mentor and coach wider team as a Subject Matter Expert for Control Accounts area
  • Strong ability to resolve complex issues
  • Must be comfortable comparing high volumes of data in different systems and providing insight from this
  • Strong commercial knowledge to identify any risks / opportunities to the business and make relevant recommendations to resolve
  • Experience of using SAP is essential