Ensuring prompt, accurate application of incoming funds to funds held in client trust accounts Following up and collection of unrecovered receivables Analyzing loss funds for adequacy Assisting with payment release process to ensure KPI's are met Other financial related tasks and responsibilities, as required Requirements
University degree or College diploma in an Accounting or related program Minimum 1-3 years' of related work experience Proficiency in Microsoft Office, including Excel; ability to quickly learn new technologies Strong verbal and written communication skills, delivering results with clarity and accuracy Results-oriented while maintaining a high regard for thoroughness and attention to detail Ability to work in a fast-paced environment to meet immediate needs of the team or customers Ability to adapt to an evolving environment where analytical skills are needed to problem solve Core Competencies
Demonstrates expertise in financial management, including the application of funds to client trust accounts and the analysis of receivables. Proficient in Microsoft Office, particularly Excel, with strong analytical and communication skills to deliver accurate results in a fast-paced environment. Highest-signal resume keywords
Accounting Degree Financial Analysis Microsoft Excel Proficiency Verbal and Written Communication Attention to Detail ATS Optimization Keywords