Responsible for the group’s timely and accurate completion of P&I and T&I Custodial reconciliations, and is responsible for the implementation, maintenance, and communication of company policies and procedures
Job Summary
Responsible for the group’s timely and accurate completion of P&I and T&I Custodial reconciliations, and is responsible for the implementation, maintenance, and communication of company policies and procedures.
Responsible for the training of new and current Investor Accounting analysts and provide continuous feedback to staff.
We offer benefits, programs, and perks that support you in every aspect of your life, including Medical, dental, and vision insurance, 401(k) Retirement plan with employer match, and Tuition & Certification reimbursement.
Matching Summary
Responsible for the group’s timely and accurate completion of P&I and T&I Custodial reconciliations, and is responsible for the implementation, maintenance, and communication of company policies and procedures.
Skills & Requirements
Must-have
P&I and T&I Custodial reconciliations
Investor Reporting guidelines
Strong PC skills (Excel)
Organizational skills with attention to detail
Nice-to-have
Empowering employees
Encouraging innovative solutions
Recognizing great performance
Team built on heart and hustle
Key Requirements
College degree required
5-8 years Investor Accounting experience
Knowledge of FHA, VA, and USDA loan guidelines
Knowledge of Fannie Mae, Freddie Mac, and Ginnie Mae servicing guidelines