Investor Accounting Specialist

TrustmarkPearl, MS
8d

About The Position

The Investor Reporting Specialist role is primarily responsible, under general supervision, for performing a number of accounting-related tasks in support of the Mortgage Servicing department, such as reporting, balancing, bank reconciliations and remitting financial figures to third-party investors, preparing reports, maintaining accurate records, identifying payment discrepancies, providing analysis, etc.

Requirements

  • Bachelor’s degree in Accounting required
  • Minimum 1 years' experience in residential mortgage in an accounting servicing with a focus on Investor Reporting or 1 year accounting work experience
  • General knowledge of GSEs (FHLMC, GNMA(FHA/VA/USDA), FNMA)
  • Strong knowledge and proficiency with investor accounting principles and concepts, including debits and credits, cash flow requirements, bank reconciliations, etc.
  • Work independently in a fast-paced, deadline-driven environment
  • Highly organized with the ability to manage multiple priorities; strong sense of urgency and responsiveness
  • Strong detail orientation and highly organized; follows through on all open issues
  • Apply analytical skills and sound judgment to assess impact on borrowers, investors, and the company
  • Proven excellent reporting, letter preparation, group presentation and other related communications skills
  • Sound judgment, ability to think critically
  • Intermediate to advanced math and Excel skills
  • Ability to use a 10-key by touch quickly and accurately
  • Intermediate knowledge of Microsoft Word and PDF/Adobe program
  • Proficiency in using and learning mortgage loan software
  • Communicate and interpret complex information effectively in verbal and written forms
  • Must successfully pass 10-key, Microsoft Word and Excel test
  • Must be able to sit for long periods of time and use computer keyboard and/or mouse, while viewing computer screens.

Responsibilities

  • Conduct daily and monthly investor bank account reconciliations.
  • Research and resolve all variances in Investor Reporting applications.
  • Ensure all cash adjustments are researched and cleared by required deadlines.
  • Report all loan modifications to investors for both traditional loans and other modifications.
  • Resolve investor rejects.
  • Ensure monthly activity is completed timely and accurately, and that each accounting cycle cutoff is completed by the required deadline.
  • Verify funds are owed and available for investor principal and interest remittances, and advance funds when necessary.
  • Reconcile actual activities against reported activities for in GSE investors such as GNMA (FHA/VA/USDA), FNMA, FHLMC.
  • Research and gather reports and documentation requested for all Exams (Internal & External), Financial Audits, QC Audits and Investor Audits.
  • Reconciling disbursement account and all outstanding checks.
  • Perform additional duties as assigned.
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