This position is responsible for the research, review, and clearing of loan and/or deposit control General Ledger accounts and assisting with the preparation of the control spreadsheets. Reviews daily unposted transactions and assists with final resolution of outages. Also assists with monthly general ledger reconciliations, review of bank control loan specifications, and review of daily reports and error resolution.
Experience with GL accounts and spreadsheets required
Basic knowledge of related state and federal banking compliance regulations;