Trust Operations Associate
Listed on 2026-01-02
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Finance & Banking
Financial Analyst, Accounting & Finance
Trust services is looking for a Trust Operations Associate to join our dynamic Trust Reconciliation team. The ideal candidate will be a highly motivated & passionate professional who has background experience in US retirement/operations, process design, risk mitigation and a proven ability to work closely with various partners. This individual will play a key role in supporting daily Trust functions while also contributing to processes/initiatives that position our business for the future.
This is an exciting opportunity for a motivated professional who thrives in a fast-paced environment, values collaboration, and is eager to make an impact.
- Prepare and review daily cash reconciliations, ensuring receipts, disbursements, taxes, and lockbox accounts are all reconciled and in balance by the close of business.
- Identify out of balances and take proactive steps to resolve all breaks daily.
- Monitor and manage incoming/outgoing money for payrolls, manual trades, ACH activity, and check deposits.
- Research and own the resolution of trading issues and reconciliation breaks to ensure aging remains within SLA’s.
- Successfully monitor and follow up on escalated items, seeing problems through to resolution and closure.
- Support check deposit process by receiving and depositing checks.
- Process tax corrections and support annual production of tax forms for participants/plans.
- Initiate and approve customer wires and book transfers; transmit and void files to the bank.
- Assist in monthly and quarterly aged item reporting.
- Collaborate with and support other members of the Reconciliation unit in completing daily functions.
- Ensure all procedure documentation is accurately reviewed and maintained. Ensure controls are being followed and steps taken to mitigate risk.
- Contribute ideas for process optimization to improve efficiency and effectiveness. Work with internal teams for requirements, design, implementation and documentation.
- Monitor email inbox and respond to inquiries providing timely and accurate information.
- Strong Excel skills and experience with Power Apps & Power BI
- Strong attention to detail skills
- Minimum 3-5 years of financial services experience ideally from a retirement plan provider.
- Knowledge of trading platforms and US retirement industry preferred
- Strong understanding of cash/share reconciliation and impacts.
- Ability to work independently and in a team environment under tight deadlines. Demonstrate initiative and being a team player.
- Excellent customer service, communication, and problem resolution skills. Able to work with diverse teams and
- Previous experience working with SQL, FIS Omni, JIRA and/or Matrix CC360 a plus
- Experience working in projects or process-improvement initiatives, establishing & documentation required, developing solutions, and status reporting to management & partners.
- Familiarity with SAFE AGILE methodology
- We’ll empower you to learn and grow the career you want.
- We’ll recognize and support you in a flexible environment where well-being and inclusion are more than just words.
- As part of our global team, we’ll support you in shaping the future you want to see.
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