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Investor Accounting Analyst II (On-site)

NewRez LLC

Primary Function The Investor Accounting Analyst II is responsible for preparing assigned monthly bank reconciliations of various clearing, PI, & TI custodial accounts for investors which could include FNMA, FHLMC, GNMA, or Private Portfolios. The Investor Accounting Analyst II will be responsible for accounts with moderate and high levels of difficulty. This individual will provide guidance and oversight to less senior team members and help create and build process documentation, automation, and analytical insights to ensure that we are consistently providing best in class service to our investors and customers. Principal Duties Prepare monthly cashbook and test of expected reconciliations for various investor custodial accounts, including Fannie Mae, Freddie Mac, Ginnie Mae, and Private portfolios. Prepare monthly reconciliations of customer Escrow accounts. Prepare daily / monthly reconciliations of Clearing accounts. Researches and resolves loan and account variances and clears accounts in accordance with investor and regulatory guidelines. Works with Investor Reporting team members to resolve items within the investors' accounts. Maintains and follows procedures and controls within the monthly process. Assists with internal and external audits. Heavy use of Microsoft excel for data analysis and reporting. Handle ad-hoc reporting or research as directed by management. Calculate interest and percentages; balance accounts; add, subtract, multiply and divide in all units of measure, using whole numbers, common fractions, and decimals; locate routine mathematical errors; compute rate, ratio, and percent, including the drafting and interpretation of bar graphs. Investigate, reconcile, and provide timely resolution to all investor issues and reconciliation exceptions. Research operational, reporting, or data issues and present solutions or process improvements to management. Performs related duties as assigned by management. Education and Experience Requirements High School Diploma or equivalent required. Bachelor's Degree in Accounting or Finance preferred. 2-4 years of Mortgage Servicing experience required; prior Investor Accounting experience preferred. Knowledge, Skill, and Ability Requirements Advanced MS Excel experience required. Strong math skills. SQL or other database reporting experience preferred. Servicing Director knowledge a plus. Knowledge of basic accounting principles and practices. Solid analytical skills, particularly regarding assessing the probability and impact of an internal control weakness. Working understanding of operational risks and related controls. Strong organizational and time management skills necessary. Self-motivated with strong attention to detail and excellent organization skills. All employees are required to have smart phones that meet Company security standards with the ability to install apps such as Microsoft Authenticator. Employment will be contingent on this requirement. Benefits Medical, dental, and vision insurance Health Savings Account with employer contribution 401(k) Retirement plan with employer match Paid Maternity Leave/Parental Bonding Leave/Caregiver Leave Adoption Assistance Tuition & Certification reimbursement Employee Mortgage Loan Program Newrez Employee Emergency and Disaster Fund Equal Employment Opportunity We're proud to be an equal opportunity employer- and celebrate our employees' differences, including race, color, religion, sex, sexual orientation, gender identity, national origin, age, disability, and Veteran status. Different makes us better. #J-18808-Ljbffr NewRez LLC

Vacancy posted 5 days ago
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