-
Ensure all PRs are received for processing
-
Check MAT accounts for sufficient funds
-
Review PRs for errors (e.g., choice of bank, Trust vs Business account, authorization status)
-
Sort PRs
-
Load PRs for payment on the respective bank platform
-
Assign Transaction Numbers (TNs) to PRs
-
Post PRs with TNs to the General Ledger (GP)
-
Ensure PRs are authorized by staff responsible for the relevant bank
-
Print audit trails from respective banks
-
Sort and distribute audit trails to the PR creator
-
Reconcile to GP and ensure no PRs have been incorrectly allocated by GP
-
Open all investment accounts across 5 banks
-
Perform FICA verification for investments
-
Process deposits into investment accounts
-
Process withdrawals from investment accounts
-
Handle investment account closures
-
Extract monthly reports and statements from all 5 banks
-
Post interest, bank charges, and 5% to LPFF upon account closure
-
Post interest, bank charges, and 5% to LPFF monthly for all active investments
-
Ensure all entries are posted correctly using GEN numbers in GP
-
Agree investment accounts to GP by bank
-
Reconcile investment balances to GP by bank
-
Provide monthly reports and reconciliations to Steve Clarke
Only shortlisted candidates will be contacted. Should you not receive a response within 14 days please consider your application unsuccessful. We will keep your CV on our database for any other relevant roles that may arise.