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Business Analyst I/II (Cash Operations Team)

Company

Federal Reserve Bank of Atlanta

As an employee of the Atlanta Fed, you will help support our mission of promoting the stability and efficiency of the U.S.

economy and financial system.

Your work will affect the economy of the Southeast, the United States, and the world.

The work we do here is important, and how we do it is just as important as what we do.

We live our values of integrity, excellence, and respect every day.

We do the right thing, we do things right, and we treat people right.

A career at the Federal Reserve Bank of Atlanta gives you the chance to do work that touches lives and helps communities prosper.

Under direct supervision, uses historical data to perform analysis of business issues utilizing established methodology and tools.

Provides a range of services and activities that align analytical support with business initiatives, which may include assisting with the following: basic database input, creation of metrics reports of limited complexity, budget data input, and other data reporting.

Assists with the information flow among business lines to achieve desired outcomes.

On-Site Location- Jacksonville, FL

 

In this role, you will:


* Independently balance Cash department verify documentation using source documents.

Complies with all established procedures associated with verifying daily and monthly notes destroyed.

Compiles large notes and small notes for certification.

Performs end of day balancing and settlement transactions in accordance with financial accounting guidelines.


* Processes financial accounting transactions/entries to depository institutions using accounting operating systems and inventory and web-based applications.

Demonstrates ability to resolve complex out of balance conditions.

Navigates complex inventory tracking within relevant accounting systems to record batch statistics/inventory, transfers among internal valuables handling teams and external customers, and differences and other pertinent data elements.

Responsible for ensuring the accuracy of automated accounting and transfer records.

Generates and prints customer currency order documents at scheduled times throughout the day.


* Provide administrative support to the various units (including external stakeholders) and demonstrating highly effective verbal and written communication skills to include grammatically correct and in a tone and format befitting the message, verbally expresses rationale and opinions to others in a clear and concise manner and often drafting correspondence for Bank management.


* Perform volume and metric forecasting analysis, development of recurring reports, budget oversight and analysis, deposit quality and market intelligence analysis and reports.


* Provide recommendations to management to enhance department controls and efficiencies and completes projects and analysis assigned by management concerning Cash Services’ goals and responsibilities.

Resolves complex or in-depth questio...




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