Role and Responsibilities:
- Manage the posting and maintenance of the Trust Ledger including interfaces and trade settlements.
- Manage the reconciliation of cash daily as well as bank and brokerage Statements.
- Manage the payment of bills for trust, estate, and agency accounts. This includes ACH payments and check payments to beneficiaries throughout the month.
- Verify updated market values on investment securities and post monthly, quarterly, and annual statements.
- Verification of new assets, new Person and Entity Files (PEFs) for vendors, and scheduled transactions.
- Oversees the timely distribution of estimated tax payments, CPA firm payments, and federal and state tax payments.
- Verify the Annual Cemetery Reports.
- Correspond effectively with clients, vendors, advisors, and accountants.
- Calculate Required Minimum Distributions.
- Review and respond to IRS Notices.
- Prepares and submits Trust tax packages to CPA Firm.
- Completes all training assigned by HR, IT, Compliance, BSA, and supervisor on a timely basis.
- Provides exceptional customer service.