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Bank Audit Admin
Bank Audit AdminCalculated Hire • Brentwood, TN, US
No longer accepting applications
Bank Audit Admin

Bank Audit Admin

Calculated Hire • Brentwood, TN, US
13 days ago
Job type
  • Temporary
Job description

Overview

This range is provided by Calculated Hire. Your actual pay will be based on your skills and experience — talk with your recruiter to learn more.

Base pay range

$22.00 / hr - $24.00 / hr

Sales and Bank Audit Admin

Brentwood, TN

3 Month Contract (+Extension)

Day to Day

Day to Day :

This position is responsible for performing key aspects of the bank and sales audit process. This includes the balancing of store specific sales on a daily basis, reconciliation of corporate bank and credit card accounts, reconciliation of store specific bank accounts, and processing of vendor coupons submitted to the Store Support Center (SSC) each month.

  • Reconcile assigned store bank accounts to the general ledger and discuss clarification and resolution of issues with store management and / or banks as appropriate.
  • Download the daily bank files using specialized billing software. Reconcile the bank accounts to the general ledger and discuss clarification and resolution with store management and / or banks. Record all journal entries as appropriate.
  • Reconcile credit card tender funding to the general ledger transactions, including research of chargebacks.
  • Balance store sales within the sales audit system, including research and discussion with store management and information technology (IT) personnel for clarification and resolution.
  • Manage daily fund transfers from local store bank accounts to the corporate consolidated bank accounts and send check processing.
  • Assist in processing accounts payable checks, including sorting and stuffing checks.
  • Communicate circumstances and problems observed in the reconciliation process to management.
  • Assist in the process of logging, sorting, and mailing coupons for coupon processing.
  • Deposit of all checks and cash received at the SSC.

Must Haves

  • 2 years of relevant work experience related to bank reconciliations and depository activity.
  • Ability to build strong partner and interdepartmental relationships.
  • Detail-oriented, especially regarding processing and reviewing documentation, data entry, and data integrity
  • Seniority level

  • Mid-Senior level
  • Employment type

  • Contract
  • Job function

  • Accounting / Auditing
  • Industries

  • Retail
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    Admin • Brentwood, TN, US