Fraud Analyst
We are seeking a detail-oriented Banking Operations Specialist II to join a Reconciliation & Government Reporting team supporting day-to-day banking operations. This role will focus heavily on general ledger reconciliation, deposit account reconciliation, reporting, and banking operations .
The ideal candidate will have at least one year of retail banking experience, strong reconciliation and general ledger knowledge, and intermediate Excel skills. This position requires someone who is comfortable working with detailed financial information, following established procedures, and collaborating with team members on a daily basis.
Key Responsibilities Reconcile deposit bank accounts and general ledger accounts
Prepare and review daily proofs and reconciliations in accordance with accounting and control policies
Research and resolve discrepancies involving banking transactions and general ledger activity
Support unclaimed property reporting and related banking processes
Assist with year-end reporting and tax form corrections
Support bank control changes and interface updates
Process payments, tickets, online entries, and other banking transactions accurately
Research routine customer, branch, and internal banking inquiries
Enter transactions and ensure general ledger accounts remain properly balanced
Maintain accurate documentation and records related to banking operations
Follow established banking policies, procedures, controls, and regulatory requirements
Collaborate with team members and management to resolve issues and complete daily operational activities
Work independently while escalating more complex issues when appropriate
What You'll Do Day-to-Day This role will have daily interaction with team members and management . During the first few weeks, the primary focus will be developing proficiency with general ledger reconciliation and learning the team's manual processes.
The position requires strong attention to detail and the ability to work through financial information methodically while maintaining accuracy and meeting deadlines.
Required Qualifications At least 1 year of retail banking experience
At least 1 year of general ledger and reconciliation experience
Intermediate Excel skills, including the ability to navigate and work with spreadsheets and financial data
High school diploma or equivalent required
Strong attention to detail and organizational skills
Ability to work effectively in a team environment and independently
Strong analytical and problem-solving abilities
Preferred Qualifications Experience with unclaimed property
Knowledge of banking operations and financial principles
Familiarity with banking regulations and internal controls
Experience supporting year-end reporting or tax-related corrections
Experience working with banking reconciliations and financial reporting
What We're Looking For The successful candidate will be someone who is:
Detail-oriented and highly accurate
Comfortable working with numbers and financial data
Experienced with general ledger reconciliation
Proficient in Excel
Able to learn manual processes and operational procedures quickly
Comfortable working independently while communicating effectively with the team
Able to identify discrepancies and research issues through multiple sources
Education High school diploma or equivalent required.
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