Treasury - Accounting Administrator (Brooks)

Treasury - Accounting Administrator (Brooks)

07 Sep
|
Stellervista
|
Brooks

07 Sep

Stellervista

Brooks

StellerVista Credit Union proudly anchors itself in the Kootenay and Boundary regions of British Columbia, offering a comprehensive range of financial services to communities including Cranbrook, Castlegar, Fernie, Elkford, Sparwood, the Slocan Valley, and Greenwood in the West Boundary. We are dedicated to serving our members providing financial services while focusing on fostering local economic growth by employing residents and reinvesting profits back into our local communities. Our mission is to be more than just a financial institution, but a vital part of the local fabric. In the spirit of reconciliation, StellerVista Credit Union would like to respectfully acknowledge the land on which we serve ourmembership and meet is within ʔamakʔis Ktunaxa, the traditional and unceded homelands of the Ktunaxa Nation, as well as the traditional and unceded homelands of the Syilx, Sinixt, and Secwepemc. The Chance If you are ready for an exciting career move to a progressive financial services organization dedicated to cooperative values and exemplary member service, this could be just what you’re looking for. We are currently recruiting for the position of Treasury & Accounting Administrator. Position Overview As a Treasury & Accounting Administrator,



you will provide quality service to internal members and contribute to the success of StellerVista through the achievement of department service goals. On a rotational basis, you will provide administrative support in the execution of either treasury-related or accounting-related functions and perform any duty of either rotation as assigned. Key treasury functions include calculating daily investment and borrowing requirements, preparing investment spreadsheets, maintaining, and updating exchange, interest, and other rates, administering a variety of programs including sold and securitized mortgage pools, and syndicated loans. You will process a variety of month end accounting functions for StellerVista subsidiary companies, and those related to treasury and investment activities. Key accounting functions include regular balancing and reconciliation activities for system generated transactions, cashbook, rejected items and ATM/POS transactions, incoming service charge reversals, branch voucher, journals and posting sheets as well as incoming clearing transactions. You will further conduct month end balancing and reconciliation functions including Central 1

📌 Treasury - Accounting Administrator (Brooks)
🏢 Stellervista
📍 Brooks

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