Under the direction of the Treasury Operations Manager, the incumbent provides assistance and support to the unit, its supervisor and the financial management team to operate the Secretariat's cash accounts, which includes maintaining cash records and reconciling assigned bank account transactions, monitoring and processing daily cash flow activities and providing backup and technical support for Treasury Operations. Other duties include, but are not limited to: Processing unemployment benefit cash drawdown within ASAP, US Treasury sites. Processing federal grant drawdown with PMS federal site and reconciling MOSAIC transactions. Collaborating with treasury, banking partners, and financial platforms to ensure accurate cash draw reconciliation. Maintaining proper records for the cash draws, ensuring comprehensive documentation to support audit compliance. Scanning and depositing sweep account checks. Entering payment vouchers into MOSAIC for processing. Monitoring daily cash balances, revenue and fund disbursement and ensuring all amounts are accurate and posted timely in compliance with State and Federal regulations. Performing cash and expense reconciliations weekly to resolve all issues in a timely manner with the Offices of the State Comptroller and Treasurer. Preparing cash reports and accounting records to be used with financial statements; reviewing refund requests/expenditures refunds. Other duties as assigned.
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Job Type
Full-time
Career Level
Mid Level
Education Level
Associate degree