Execute end-to-end payment processing for payments, ensuring accuracy, compliance, and timely settlement across domestic and international transactions. Balance, validate, print, and distribute general disbursements for the enterprise. Request and verify check stop payment and void requests from all operating units with banking institutions. Prepare, validate, and transmit check disbursements with required approval controls. Investigate and resolve payment exceptions, rejects, and returns, including stop payments and stale or altered checks. Serve as a point of contact for payment inquiries. Maintain communication with IT to investigate and review failed transactions related to the financial system. Respond to internal and external requests regarding check status and check copy requests. Perform testing of check printing software when updates or changes are made to the system. Issue required correspondence to payees regarding unclaimed property. Extract information regarding outstanding checks for unclaimed property reporting. Ensure adherence to NACHA requirements. Monitor transactions for fraud and escalate concerns. Collaborate with internal teams, including Finance and Treasury. Monitor deadlines to avoid financial loss. Support automation initiatives. Maintain SOPs and process documentation. Support annual 1099 forms as well as unclaimed property filing and reporting. Work within stated internal KPIs and SLAs. Keep Leadership informed when problems may interfere with work being completed on time. Assist Leadership with reporting of current metrics that add value to the organization as well as ad-hoc reporting to management. Perform any other job responsibilities as required at the Company’s discretion.
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Job Type
Full-time
Career Level
Mid Level
Education Level
High school or GED