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Cash Support Specialist - Intermediate (Cash Admin)

Company

Federal Reserve Bank of Richmond

When you join the Federal Reserve—the nation's central bank—you’ll play a key role, collaborating with a dynamic and diverse team of mission-driven professionals to strengthen and protect our economy and our communities.

Bring your passion and expertise, and we’ll provide the opportunities that will challenge you and propel your growth—along with a wide range of benefits and perks that support your health, wealth, and life.

In addition to competitive compensation, we offer a comprehensive benefits package that includes tuition assistance, generous paid time off, top-notch health care benefits, child and family care leave, professional development opportunities, a 401(k) match, pension, and more.

All brought together in a flexible work environment where you can truly find balance.

About the Opportunity

The Richmond Cash department has an immediate opening for a Cash Support Specialist reporting to the Senior Cash Manager.

As a Cash Support Specialist, you will provide administrative business support to enhance the accuracy and efficiency of Cash activities which support and enable the core business focus of the Cash department.

You will review, process, and archive work products and maintain and apply relevant standards and rules regarding the processing and content of work product.

In addition, you will perform review of Cash reports to provide accurate analysis.

You will identify and troubleshoot operational issues and assist customers with a variety of questions and problems, providing transactional and discrepancy reporting to appropriate stakeholders.

What You Will Do:


* Perform record keeping activities necessary for the accurate processing of cash and coin receipts, payments, and destruction.


* Maintain accurate records and reports of all cash and coin transactions and exceptions.


* Perform moderately complex process auditing activities ensuring transactional accuracy and inventory security at multiple points in the process.


* Perform routine administrative, reporting, and budget management functions, as well as preform complex balancing and other data entry tasks.


* Apply judgment and discretion within the framework of governing procedures to maintain custody and accountability in a valuables handling environment.


* Balance deposits, inventory, and process financial accounting transactions for depository institutions using accounting operating systems and Cash Services' processes.


* Assist with daily operational issues (i.e., out of balance conditions).


* Model the bank’s values displaying behaviors that contribute to the culture in a positive way.


* Navigate complex inventory tracking within relevant systems among internal valuable handling teams and external customers to record batch statistics, inventory and transfers, differences, and other pertinent data elements.


* Performs other duties as assigned.

Qualifications:


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