
5001 - 10000 employees
🏢 Enterprise
👥 HR Tech
☁️ SaaS
💰 $1G Post-IPO Debt - Dayforce on 2024-03
Enterprise • HR Tech • SaaS
Dayforce is a cloud-based human capital management (HCM) platform that provides workforce management, payroll, HR, talent management, time and attendance, scheduling, and benefits administration solutions. It integrates payroll and workforce management in a single application and is used by employers to manage employee lifecycle, payroll processing, compliance, and workforce analytics.
🔥 3 minutes ago
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5001 - 10000 employees
🏢 Enterprise
👥 HR Tech
☁️ SaaS
💰 $1G Post-IPO Debt - Dayforce on 2024-03
Enterprise • HR Tech • SaaS
Dayforce is a cloud-based human capital management (HCM) platform that provides workforce management, payroll, HR, talent management, time and attendance, scheduling, and benefits administration solutions. It integrates payroll and workforce management in a single application and is used by employers to manage employee lifecycle, payroll processing, compliance, and workforce analytics.
• The Control Accounting Specialist I is responsible for facilitating money movements and bank account reconciliations based on daily transactions for clients of Ultimus Fund Solutions. • Instructs custody movements from daily money movement activity. • Reviews accuracy of daily money movements to and from custody bank accounts; follows-up on discrepancies. • Enters, releases, and approves wires to and from custody banks by predetermined deadlines. • Enters, releases, and approves wires for shareholder redemption requests. • Assists with daily research on any outstanding items regarding bank account reconciliation. • Reviews and decides ACH and checks positive pay items. • Facilitates federal and state tax withholding payments. • Reconciles assigned bank accounts to ensure items are resolved in a timely manner. • Accurately reports aged reconciliation items. • Assists the Fund Accounting department regarding any questions that arise in any dollar or share discrepancies. • Coordinates follow-up of outstanding bank account reconciliation items with internal departments to ensure timely resolution.
• An undergraduate degree in business administration, accounting, tax, finance, or related field. • 1-3 years of experience in an accounting, reconciliation, or finance related role. • Experience working in the Mutual Fund Industry. • Equivalent education and experience will be considered.
Apply Now🔥 3 hours ago
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