Bank Reconciliation Processor
Village Capital & Investment
Job Description
Job Description
Job Title: Bank Reconciliation ProcessorLocation: Draper, UTJob Type: Full TimeCompany: Village Capital & Investment LLCAbout the Role: We are seeking an experienced Bank Reconciliation Processor to support our investor accounting function within a large mortgage loan servicing operation. This role is responsible for performing custodial bank account reconciliations, assisting with remittances, and ensuring compliance with agency and private investor requirements. The ideal candidate will have a strong accounting background, excellent attention to detail, and the ability to thrive in a high-volume environment.ResponsibilitiesPerform daily, monthly, and periodic investor remittance activities for Fannie Mae, Freddie Mac, Ginnie Mae, and private investors.Complete reconciliations of custodial, clearing, and corporate bank accounts, including P&I, T&I, investor, and advance accounts.Research, analyze, and resolve reconciliation variances and exceptions in a timely manner.Monitor daily custodial cash activity and identify discrepancies requiring investigation.Ensure compliance with investor guidelines, regulatory requirements, servicing agreements, and internal policies.Partner with Treasury, Loan Servicing, Default, and Corporate Accounting teams to resolve reconciliation breaks and accounting issues.Prepare documentation and support responses for investor inquiries, audits, and regulatory examinations.Assist with process improvement initiatives and reporting enhancements.Maintain accurate records and supporting documentation in accordance with agency and SOX requirements.Serve as a resource on custodial account reconciliations and investor accounting processes.QualificationsIn -depth knowledge of GSE and Ginnie Mae investor guidelines and custodial accounting requirements.Strong understanding of mortgage servicing operations, reconciliations, and cash management.Working knowledge of GAAP and SOX control requirements.Experience with loan servicing platforms (e.g., Black Knight MSP) and reconciliation tools.Strong analytical, problem-solving, and organizational skills.Excellent attention to detail and ability to meet deadlines in a fast-paced environment.Effective written and verbal communication skills.Preferred 3-5+ years of experience in mortgage servicing investor accounting, bank reconciliations, or related financial operations.Benefits401(k) matchingDental insuranceHealth insuranceHealth savings accountLife insurancePaid time offVision insuranceWhy Join Us?Opportunity to contribute to a critical function within a large-scale mortgage servicing operation.Collaborative culture focused on innovation, compliance, and continuous improvement.Competitive compensation and benefits package.Opportunities for professional growth and advancement.In SummaryIf you are looking for an opportunity to contribute to a growing organization that values your skills and expertise, we want to hear from you. At Village Capital & Investment LLC, we believe in fostering a supportive and inclusive work environment that encourages professional growth. Apply today to take the next step in your career with us!
$80k - $95k
...processes and play a key role in monthly financial reporting, reconciliation, and analysis. As a senior member of the accounting team, you'... ...journal entries and maintain general ledger accounts Reconcile bank statements, credit card accounts, and balance sheet items...SuggestedFull time$19 per hour
...Lead- at Apex Systems Apex Systems is currently hiring for a Banking Operations Specialist Role with a financial services client.... ...input financial and customer information into internal systems. Reconciliations: Perform daily account and transaction reconciliations to...SuggestedFull timeContract workCurrently hiringWork at office- Senior Accountant needs 3+ years of experience in accounting, reconciliation, or financial operations. Basic knowledge of GAAP and... ...VLOOKUP, INDEX-MATCH, Power Query) and Alteryx Experience in banking or fintech preferred Monitor and reconcile payment transactions...Suggested
- ...multiple subsidiaries. Job Responsibilities: Reconcile bank and company credit card accounts Review expense reports and... ..., including assigned journal entries, balance sheet account reconciliations, accruals, and overall maintenance of all operational management...SuggestedFull timeInternshipMonday to Friday
- ...financial transactions are recorded correctly. • Reconcile bank accounts and balance sheet accounts on a regular basis, investigating... ...of journal entries, general ledger maintenance, and account reconciliation practices. • Experience performing bank reconciliations and...SuggestedContract work
- ...daily payment transactions, monitor flows, and perform account reconciliations while resolving discrepancies Develop and maintain... ...years of experience in travel & expense ~ Proficient in global banking payment methods and terminology ~ Ability to communicate complex...Hourly payDaily paidFull timeTemporary workFlexible hours
$90k
...the Sr. Accounting Manager with the preparation of wires and bank transfers, including preparing transfer requests, verifying vendor... ...(GAAP) and Financial Accounting standards. Assist with the reconciliation of balance sheet accounts and the preparation of inter-office...Full timeWork at officeFlexible hours$80k - $90k
...growth. What You'll Do Lead assigned month-end close activities, including journal entries, reconciliations, supporting schedules, and financial analysis. Prepare lender, banking, financial, and regulatory reporting with accuracy and timeliness. Investigate and resolve...Full timeTemporary workWork at officeMonday to FridayFlexible hours$20.81 - $23.93 per hour
...position serves as a teller and customer service advocate for banking customers. This role focuses strongly on building banking... ...requirements. Support the Retail Banking team with daily reconciliation and balancing issues. Adhere to all bank policies, regulations...Hourly payContract workWork at officeWeekend work$55k
...balances and resolve billing discrepancies. • Maintain accurate customer account records and payment history. • Reconcile daily bank and payment processor transactions in QuickBooks Online (QBO). • Accurately categorize daily transactions in QBO in accordance with company...Daily paidWork at office- ...maintenance, 1099-B reporting, educational and regulatory insights, reconciliation discrepancies, and cost basis reporting. This often requires... ..., Access, and other Office tools. Excellent verbal and written communication skills. Meet Your Recruiter Robyn Banks...Work at office
- ...accurate accounting for all transactions. The Staff Accountant’s responsibilities include developing and performing detailed reconciliations for new Banking as a Service (BaaS) programs, including BIN Sponsorship, Payment Processing, and Strategic Partner lending initiatives....Work at officeNight shift
$15 - $18.5 per hour
...support accounts payable, accounts receivable, invoice processing, reconciliations, payroll support, and day‑to‑day accounting operations. The... ...taxes, IFTA, sales tax, MSHA, new hire reporting) Assist with bank and credit card reconciliations, inventory tracking, and cost...Hourly payFull timeRemote workMonday to Friday- ...reporting, and cost basis questions Perform manual adjustments and reconciliations to resolve discrepancies Analyze account information and... ...or related field Previous experience in financial services, banking, operations, or related analytical roles preferred...Permanent employmentContract workWork at officeLocal area
- ...quarterly tax provision processes Support tax-related accounting, reconciliations, and journal entry preparation Partner with Accounting,... ...occur through Weave branded email. We will never ask you to share bank account information, cash a check from us, or purchase...Local area
- ...You’ll Do Manage accounts payable (AP) functions and payment reconciliation. Monitor and maintain accurate records of vendor payments. Reconcile... ...with vendors to resolve billing discrepancies. Reconcile bank statements and company credit card transactions. Support month...Work at officeLocal area
- ...leadership, deep system fluency across NetSuite, Ramp, FloQast, and banking platforms, a solid grounding in accounting principles, and... ...card issuance, spend policies, transaction coding, and reconciliation, and ensure clean, timely sync of AP activity into NetSuite....
- ...Clients Own the monthly close process, including journal entries, reconciliations, accruals, and financial statement preparation Maintain the... ..., payroll coordination, and cash management Reconcile bank and credit card accounts on a monthly basis Prepare and review...Flexible hours
$90k - $110k
...for the Colorado region, including a hard close by the 15th of each month. Prepare and review financial statements. Perform bank reconciliations, intercompany reconciliations, and monthly financial reviews to ensure accuracy. Maintain and update fixed asset (FF&E)...For contractors- ...experience supporting data analysis and report development ~ Experience managing banking and payment processing systems, including gateways, positive pay, NACHA, and third-party processors ~5+ years of leadership experience with direct reports Technical &...Permanent employmentFull timeTemporary workImmediate start
- ...functional teams to maintain accurate financial records, perform reconciliations, and contribute to financial reporting. Key Responsibilities:... ...records for multiple companies within the portfolio. Perform bank reconciliations, accounts payable and receivable, and month-...Full timeRemote workFlexible hours
$50k - $70k
Are you an experienced, detail-oriented mortgage loan processor who can successfully aid applicants in navigating the mortgage lending process... ...the mortgage loan application. Assure that loan files meet banking and regulatory guidelines and policies. Liaise between the...$67.2k - $126k
...Ledger Management: Maintain the general ledger, prepare and post complex journal entries, and perform detailed reconciliations for various accounts (e.g., bank, accruals, fixed assets, and intercompany transactions). Audit & Compliance: Be a primary point of contact...Full time- ...elements while building scalable Paycom workflows, controls, reconciliations, reporting, and team capability for clinicians, sales, and administrative... ...processed on schedule with at least 99% accuracy. Payroll, bank, general ledger, benefit, 401(k), tax, and funding...Interim roleWork at officeLocal area
$60k - $70k
...$90,000Key Responsibilities:- Month-end and year-end close- Journal entries and general ledger maintenance- Bank, credit card, and balance sheet reconciliations- Financial reporting and analysis- Fixed assets and depreciation schedules- Process improvement initiatives-...Immediate start$2,300 per month
...Reconcile customer accounts and ensure proper application of payments. Assist with and contribute to month‑end close and bank reconciliations. Contribute to inventory reconciliation and assist with related accounting entries. Develop, update, and enhance department...- ...discrepancies and ensuring regulatory compliance. General Ledger: Reconciliation of general ledger accounts, ensuring alignment with GAAP and... ...variance analysis to support strategic business decisions. Bank Reconciliations: Perform daily and monthly bank...Work at officeMonday to FridayNight shiftWeekend work
- ...responsible for running payroll, managing the fixed assets, assisting the engineering accountant, revenue recognition and postings, bank reconciliations, financial reporting, and other assigned tasks. MINIMUM EDUCATION QUALIFICATION Bachelor's degree from an accredited...Work at officeAfternoon shift
- ...Accountant leads month-end close activities including account reconciliations and performs accounting work to maintain accurate, timely and... ...with status against the 48‑hour recording standard. Cash and bank activity review: deposits, disbursements, and unusual or unrecognized...Work at officeLocal area
- ...for processing sales and purchase ledger transactions, accounts reconciliations and analysis, inventory accounting, month end close, accounts... ...and processing Creditor List & Payment process (weekly) Bank payments Produce and send Sales Invoices Post Bank receipts Debtors...
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