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Programmer analyst Jobs in Port St Lucie, FL
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Programmer analyst • port st lucie fl
- Promoted
Reconciliation Analyst (Temporary)
Seacoast BankStuart, FL, USSAP FICO Analyst
Shuvel DigitalFL, United States, United States- Promoted
BCBA - Board Certified Behavior Analyst
BlueSprigPort Saint Lucie, FL, USData Analyst - Insurance - REMOTE
Work At Home Vintage ExpertsPort Saint Lucie, FL, US- Promoted
CNC Programmer / Machinist
HOG TECHNOLOGIESStuart, FL, USBehavior Analyst
PBS CorporationStuart , Fl, USBCBA Board Certified Behavior Analyst
Behavioral Intervention for AutismPutnam County, FL, United States- Promoted
Online Consumer Feedback Analyst (Hiring Immediately)
Product Review JobsPALM CITY, FL, United StatesSecurity Analyst I
Intertape Polymer GroupFL, USAFacilities Planning Analyst
GordianRemote, Florida, USSenior Programmer
VirtualVocationsPort Saint Lucie, Florida, United StatesFP&A Analyst
Seacoast National BankStuart, FL, United StatesEDI Analyst
CGSFloridaAssociate LMS Analyst - Remote
ArthrexRemote, FL, US- Promoted
Board Certified Behavior Analyst
SevitaStuart, FL, United StatesSenior Financial Analyst
Edmund OpticsFL, USCmm Programmer
AerotekStuart,FL,34994,USAINJECTION MOLD MACHINE PROGRAMMER
SpherionPalm City, FloridaWorkday E2E Analyst
Medline Industries LPPort St. Lucie, FL, USAccounts Payable Analyst
MNI Holding CompanyStuart, FL, USThe average salary range is between $ 73,604 and $ 117,127 year , with the average salary hovering around $ 90,533 year .
- forensic pathologist (from $ 208,291 to $ 338,822 year)
- vp engineering (from $ 172,500 to $ 225,000 year)
- vp of engineering (from $ 155,000 to $ 225,000 year)
- general dentist (from $ 47,484 to $ 225,000 year)
- machine learning engineer (from $ 142,910 to $ 221,821 year)
- machine learning (from $ 125,500 to $ 212,500 year)
- software engineering manager (from $ 152,500 to $ 210,000 year)
- nurse practitioners (from $ 77,454 to $ 208,469 year)
- engineering director (from $ 115,000 to $ 206,250 year)
- principal engineer (from $ 113,883 to $ 203,294 year)
- Lansing, MI (from $ 68,640 to $ 178,464 year)
- Sugar Land, TX (from $ 80,215 to $ 166,000 year)
- Hollywood, FL (from $ 92,206 to $ 162,825 year)
- High Point, NC (from $ 73,216 to $ 149,372 year)
- Oxnard, CA (from $ 82,091 to $ 147,884 year)
- Austin, TX (from $ 87,750 to $ 147,100 year)
- Fairfield, CA (from $ 62,136 to $ 145,600 year)
- New York, NY (from $ 73,238 to $ 142,535 year)
- Charleston, SC (from $ 61,128 to $ 139,175 year)
- El Cajon, CA (from $ 58,500 to $ 138,400 year)
The average salary range is between $ 65,973 and $ 116,404 year , with the average salary hovering around $ 84,990 year .
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Reconciliation Analyst (Temporary)
Seacoast BankStuart, FL, US- Temporary
JOB SUMMARY :
The Reconciliation Analyst performs reconciliation of a large number of deposit, loan, and payments assets, liability, income, and expense accounts to general ledger, including but not limited to several significant accounts : Loan Control, Loans in Process, Loan Payments in Process, investor accounts, disbursement accounts, Bank operating checking accounts established for Lending & Deposit functions, Deposit Control, CD Control, Teller Cash & ATM reconciliation. The accounts are managed using Prologue, Frontier, FIS IBS Core, reports and spreadsheets. The Bank reconciliation process is a two-step process and involves transaction matching (Bank Records versus system Records) in the first step and matching subsystems and general ledger balances in the second step. Customized reports are used to facilitate the reconciliation process. Final reconciliation with the GL requires a validation of system loan, deposit and payments balances as based on the subsystem data against total cash balances in the GL. Analyst ensures assigned reconciliation are completed on time and accurately reporting outages or balancing delays to management as well as investigating and clearing reconciling items.
QUALIFICATIONS :
- Bachelor's degree in Business Administration, Operations Management, Accounting, or related field preferred.
- 1 -2 years of experience required, preferably in accounting, treasury or banking with an emphasis of loan accounting, financial controls and systems.
- Understanding of bank reconciliation process and reports
- Understanding of bank controls and segregation of duties
- Understanding of entries in the GL versus the subsystems and their impact on the reconciliation process
- Demonstrate the ability to analyze differences, perform investigations, and summarize results for reconciling items. Able to work independently and exercise a high degree of initiative.
- Demonstrate the required skill to perform detailed work accurately and promptly too, ability to identify errors, handle sensitive information, and work to deadlines
- Exemplify good communication skill and ability to communicate professionally with others both verbally and in writing
- Display ability to work as part of a team to achieve goals
- Display problem-solving skill even under stressful conditions and deadlines
- Proficiency in Microsoft Office applications like Microsoft Word, Excel, and PowerPoint
- Flexible schedule required with ability to work during hours of operations, including weekends and occasional non-bank operational hours
- Reconcile and / or oversee the balancing of numerous accounts based on the frequencies established following and / or establishing procedures for this account including researching any outages utilizing various system generated reports and spreadsheets. Responsibility to correct and / or oversee corrective action daily on errors and / or promptly rectifying stale dated items identified.
- Continuously following up on all reconciling items and provide regular updates on stale dated items. Informing management as necessary, so items can be monitored and escalated if needed.
- Assist operations staff with outages, if and as needed, based on the interface entries, while providing research support.
- Maintain documentation for the purpose of supporting files, reports and data.
- Prepare monthly bank reconciliation reports and file the Doc Stamp remittance for the State of Florida Department of Revenue by the required deadlines,
- File all prepared accounts in a well-organized manner, and communicating any changes to team and manager.
- Assist manager in gathering items for the internal and external auditors by providing requested documents in an organized state in a timely manner, providing prompt and accurate responses to inquiries made, as well as take immediate action to correct or resolve issues as they are known.
Knowledge of banking functions and operations
ESSENTIAL JOB FUNCTIONS :
Answers accounting and financial questions by researching and interpreting data.
Provides accounting support for mergers and acquisitions by reviewing financial information; converting data to general ledger system; obtaining supplementary information for preparing financial statements.
LI-PF1
Equal Opportunity Employer / Protected Veterans / Individuals with Disabilities
This employer is required to notify all applicants of their rights pursuant to federal employment laws.
For further information, please review the Know Your Rights notice from the Department of Labor.