Reconciliation Associate

PrimeLendingDallas, TX
1dOnsite

About The Position

Hilltop Holdings is seeking to hire a Reconciliation Associate . The Reconciliation Associate is responsible for completing reconciliations for various companies. The completion of the reconciliations involves gathering data from various sources, assembling data into a template, performing the reconciliation itself, and potentially researching any outstanding items. The Reconciliation Associate may collaborate with other groups in the HTH Enterprise to resolve reconciling items. The right candidate for this position will work closely with accounting and operations departments across all lines of business. The above statements are intended to describe the general nature and level of work being performed by individuals in, or assigned to, the above position and are not intended to be construed as an exhaustive list of all responsibilities, duties and skills required, and may be changed at the discretion of the Company.

Requirements

  • Must be eligible to work in the U.S. without sponsorship now or in the future.
  • Must be able to report to our Republic Center office located at 325 N. St. Paul Street, Dallas, TX 75201, without the need for relocation assistance.
  • High School diploma, general education degree (GED), or equivalent required.
  • 1 to 3 years applicable experience required.
  • Excellent verbal, written and interpersonal communication skills.
  • Intermediate experience using Microsoft Excel.
  • Excellent time management, organizational and math skills with the ability to multi-task and work in a deadline-driven environment.
  • Professionalism, accountability and attention to detail.

Nice To Haves

  • Preferred experience with transitioning from manual processes to automated processes

Responsibilities

  • Identify reconciling items and research them for proper disposition.
  • Work with other departments to ensure reconciling items are properly researched and/or clear.
  • Daily reconciliations must be completed before close of business, including during month‑end when additional monthly reconciliations are required to meet deadline.
  • Could be assigned or responsible for managing time‑sensitive reconciliations that must be completed at specific intervals throughout the day to support critical reporting requirements
  • Perform reconciliations manually, as well as in an automated system.
  • Assist in streamlining reconciliations and / or automating them.
  • Ensure reconciliations are completed accurately.
  • Ensure all deadlines associated with reconciliations are met.
  • Cross train with other reconciliation staff to broaden experience and provide backup.
  • Performs other related duties and projects as requested
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