Member Care Support and Asset Management - Member Care Support II

Golden 1 Talent Acquisition TeamSacramento, CA
4d$21 - $23Hybrid

About The Position

Perform and conduct complex, time-intensive credits on non-performing assets through journal entries and department monetary adjustments and may be required to occasionally balance outages. Responsible for the accuracy of charge off losses and adjusted journal entries ensuring accounting principles are followed for proper financial record keeping.

Requirements

  • Effective oral and written communication skills required to interact with internal staff and constructively adjust and follow-up on member accounts.
  • Must possess sufficient manual dexterity to skillfully operate an on-line computer terminal and other standard office equipment, such as financial calculators, 10-key.
  • Must work independently with minimal direction and exhibit own initiative.
  • High School curriculum is required, AA degree in accounting or equivalent combination of education, training preferred.
  • Three years or more performing journal entry, reconciliation, and research work in a similar position within a financial institution.
  • Strong oral and written communication skills.
  • Has demonstrated a strong knowledge of Golden 1 products, services, policies, and procedures.
  • Credit union and accounting rules, regulations, and policies, ten key, Strong comprehension of the Journal Voucher (JV) process, General Ledger (GL) system, Credit Console and Data Safe.
  • Excellent analytical skills and problem solving with the ability to balance and reconcile GL accounts.
  • Prolonged sitting throughout the workday with occasional mobility required.
  • Corrected vision within the normal range.
  • Hearing within normal range. A device to enhance hearing will be provided if needed.

Responsibilities

  • Ability to perform all duties of a Member Care Support Rep I.
  • Analyze general ledger accounts.
  • Monitor and maintain sub-ledgers, reconcile, and research accounts to clear variances.
  • Participate in department projects.
  • Maintain a basic understanding of state and federal laws and regulations related to credit union compliance including bank secrecy act (BSA) and anti-money laundering laws appropriate to the position.
  • Assist in audits and reconciliations on account types including the following: Vehicle/RV loans Personal Loan Line of Credit Credit Card Collection payments Collection extensions Expulsion Process Account closure Negative Shares, Visa, and Loan Charge-offs.
  • Review delinquent accounts 150 to 180 days past due and write-off small account balances on personal loans, Visa, and Negative shares.
  • Reconcile daily teller work.
  • Review the accurate processing of Journal Vouchers and escalate to supervisor as needed.
  • Review the accurate processing of Data Changes and escalate to supervisor as needed.
  • Post and balance all Chapter 13, collection agency, and attorney suit payments.
  • Process all warranty and Gap refund checks on members’ accounts.
  • Draw corporate checks for charge off accounts pending expulsion, as needed.
  • Administer the expulsion process by identifying and researching accounts associated with account losses.
  • Identify assets associated with members account and process delinquency offsets, and account closure.
  • Assist the Supervisor on ongoing departmental projects.
  • Perform other duties as assigned.
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