The Investor Reporting Analyst plays a pivotal role in preparing, verifying, analyzing, and reconciling internal and external reporting functions for a financial services organization. This position is responsible for generating, validating, analyzing, and remitting reports related to client loan portfolios, regulatory compliance, and internal performance metrics. The Analyst processes cash remittances and reconciles custodial accounts while performing reporting, remittance, invoicing, reconcilement, and other activities across multiple business lines, including commercial, multifamily, and residential portfolios. The role requires adherence to established guidelines, procedures, and processes to maintain efficiency, accuracy, and quality control within investor reporting functions. The Analyst works closely with cross-functional internal teams to ensure compliance with service levels outlined in client contracts and program guidelines.
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Job Type
Full-time
Career Level
Mid Level