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NQ Reconciliation Specialist

Job in Northern, Floyd County, Kentucky, USA
Listing for: Ascensus
Full Time position
Listed on 2026-09-12
Job specializations:
  • Finance & Banking
    Financial Analyst, Financial Advisor / Consultant, Financial Reporting
Salary/Wage Range or Industry Benchmark: 52000 - 76000 USD Yearly USD 52000.00 76000.00 YEAR
Job Description & How to Apply Below

Newport, an Ascensus company, helps employers offer their associates a more secure financial future through retirement plans,insuranceandconsulting services. Newport offers comprehensive plan solutions and consulting expertise to plan sponsors and the advisors who serve them. As a provider and partner, Newport is independent, experienced, and responsive.

Job Summary

Working closely with internal and external resources, the Reconciliation Specialist performs functions to support Non-Qualified Plan Asset and Liability Management for clients by ensuring financial data integrity of cases and recommending appropriate financial adjustments to Trust accounts and/or plan liabilities. Processes participant payments out of the plan trust.

Essential Functions

Reasonable accommodations may be made to enable individuals with disabilities to perform these essential functions.

  • Works with trust/trading platform and internal resources to ensure the plan assets are hedged to the plan liabilities.
  • Performs quality assurance reviews, daily cash and unit reconciliation
  • Reconciles cash positions with incoming deposits and pending trades.
  • Understands general trading functions and the different security types.
  • Compares system output from multiple systems, reconciles, recommends trades, and communicates status of assets and records.
  • Identifies and researches discrepancies and takes appropriate action to resolve.
  • Identifies, analyzes, and assists in executing improvements for any daily administrative processes and procedures.
  • Assists in the development of additional financial controls and identification of preventative measures.
  • Manages outgoing payments and tax documentation for plan participants.
  • Assists in the Trust setup process to ensure required paperwork is complete and accurate.
  • Analyzes data, reconciles participant records and trust accounts, and resolves asset and data transfer issues.
  • Effectively interacts with vendors, the team, and other areas of the firm.
  • Works in a fast-paced, demanding environment under tight deadlines.
  • Ensures final work products are of high quality, provided in a timely fashion and adhere to internal guidelines, plan descriptions, and sample calculations.
  • Focuses on learning in everyday activities and events
  • Collaborates with and openly shares knowledge with colleagues
  • Regular, reliable, and punctual attendance
Required Education, Experience and Certificates, Licenses, Registrations
  • Two years’ experience in financial service industry with knowledge and experience in trust setup, reconciliation, and asset transfer.
  • Working knowledge of MS Excel and Word.
Preferred (but not required) education or skills for this role
  • Bachelor's degree (B.

    A.) from four-year college or university.
Competencies
  • Customer Oriented
  • Detail Oriented
  • Verbal and Written Communication Skills
  • Independent
  • Personable
  • Planning And Organizing
  • Resourceful
  • Team Player
  • Thoroughness
  • Time Management
  • Accuracy
  • Self-Starter
TRAVEL:
Up to 5%. OTHER DUTIES

Please note this job description is not designed to cover or contain a comprehensive listing of activities, duties or responsibilities that are required of the employee for this job. Duties, responsibilities and activities may change at any time with or without notice.

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