About the job
Job Summary This position is responsible for performing daily reconciliation of batch reports related to commercial loan servicing activities. The role involves validating payments posted through sweeps, vouchers, and non‑cash transactions, ensuring all items are accurately reflected in internal systems. The analyst reviews discrepancies, investigates exceptions, and coordinates with relevant teams to resolve posting issues promptly. This process ensures completeness, accuracy, and integrity of daily cash activity. Responsibilities Responsibilities of this role include: • Responsible for reconciling daily batch reports to ensure accuracy in payment postings. • Collaborate with different teams across locations to resolve discrepancies identified in payment postings. • Perform Quality reviews, provide timely feedback and conduct meetings to improve quality of the process. • Maintaining procedure manuals, provide trainings and on job support to junior team members. • Proactively ensure process is audit ready. • Identify and execute transformation/automation project which brings efficiency to the business • Work with Line of Business Partners to execute day to day operations and ensure process SLAs are achieved • Proactively identify risk and introduce appropriate control measures • Execute control, checks, reconciliation and report the outcome to management on a daily basis. • Independently manage customer complaint, respond timely to customer queries and provide long term solutions. • Participate in application testing whenever needed • Collaborate with peers and colleagues, stakeholder from stateside and from other departments and managers to achieve goals of the business • Managing the process in absence of FLM Required Qualifications • Require 5+ Years of experience in Commercial Real Estate Servicing, Money Movement and Reconciliation experience • Ability to identify and manage Risk. • Hands on experience on advanced excel, preferably VBA coding • Strong verbal and written communication skills • Demonstrated capacity to achieve results in a fast-paced, high-volume, and dynamic setting. • Organizational and administrative skills that reflect attention to detail and the ability to prioritize amidst competing demands. • Strong work ethic and a sense of urgency. • Skilled in managing sensitive information while upholding privacy. • Handling workload and special projects efficiently. • Ability to work both independently and within a team environment.
Requirements
- Commercial Real Estate Servicing
- Money Movement
- Reconciliation
- Advanced Excel
- VBA Coding
Preferred Technologies
- Commercial Real Estate Servicing
- Money Movement
- Reconciliation
- Advanced Excel
- VBA Coding
About the company
Founded in 1988 and headquartered in Atlanta, Trimont is a specialized global commercial real estate loan services provider and partner for lenders seeking the infrastructure and capabilities needed to make informed, effective decisions related to the deployment, management and administration of commercial real estate secured credit. We do this with a team of 1100+ extraordinary Team Members who serve a global client base from offices in Atlanta, Dallas, Kansas City, London, New York, Sydney, Hyderabad and Bengaluru. We empower our skilled global teams by equipping them with the necessary knowledge and advanced technology, as well as fostering a culture driven by values. This approach helps our teams excel and build meaningful client relationships, while providing the highest quality service and feeling proud of the work they do.
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