The purpose of this job is to support the Financial Control Manager as assigned or requested in managing and coordinating any of the daily and cyclical processes, functions and activities pertaining to all client and house account cash control, including control of funds payment, receipt and sweep functions, and the daily net settlement of funds within accounts and between operational intermediaries. The job supports the assurance that fees are calculated, collected, recorded and reconciled in a timely, accurate and complete manner. Support the supervisor’s roles of accounting, financial management, budget reporting, and profitability analysis processes associated with Tailored Wealth activities. This job is a member of a team that serves to assist with incoming call center/E-mail box inquiries and responds with appropriate fulfillment or escalation to management.
Physical Requirements/Working Conditions: Must be able to sit for long periods of time and use computer keyboard and/or mouse, while viewing computer screens.
Note: This is a brief description of this position and is not limited to those described herein. Management retains the right to add, delete or modify any of these responsibilities at any time during employment.
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