Cash Control Job Description
Cash Control Duties & Responsibilities
To write an effective cash control job description, begin by listing detailed duties, responsibilities and expectations. We have included cash control job description templates that you can modify and use.
Sample responsibilities for this position include:
Cash Control Qualifications
Qualifications for a job description may include education, certification, and experience.
Education for Cash Control
Typically a job would require a certain level of education.
Employers hiring for the cash control job most commonly would prefer for their future employee to have a relevant degree such as Bachelor's and Associate Degree in Accounting, Finance, Business, Education, Economics, Business/Administration, Business/Management, Communication, Technical, Associates
Skills for Cash Control
Desired skills for cash control include:
Desired experience for cash control includes:
Cash Control Examples
Cash Control Job Description
- Settle margin calls to the Central Counterparties (CCPs), Clearing Brokers and Clients daily
- Settle non cash collateral between CCPs and Clients
- Reconcile trade data prior to submission of reports to the regulators
- Work with the recs team to ensure resolution of breaks
- Good working knowledge of Listed Derivatives
- Understanding of regulatory reporting requirements - specifically MIFID and EMIR
- Basic understanding of accounting for Listed Derivatives
- Accountable for the P&L production and analysis across within a platform or multiple platforms across the bank
- Maintain a solid knowledge base of how various asset classes are handled by the Front Office systems
- Pro-actively monitor all operational issues pertaining to the trading portfolios assigned
- FINRA Series 7 or Series 99 required
- Thomson BETA – Books and Records platform where we perform most of our duties
- Checking the integrity of data reflected in internal systems in order to identify potential discrepancies
- Completing reconciliations of financial assets positions (equities, bonds, derivatives)
- Responding to internal and external queries in a timely manner, providing clients with accurate data
- Preparing daily, weekly and monthly metrics and reporting
Cash Control Job Description
- Perform weekly reconciliations and assist in the supervision of other team members
- Oversee and participate in the identification, analysis and resolution of exceptions in a timely manner
- Oversee and participate in liaison with stakeholders both verbally and by other means to resolve exceptions
- Post entries to the accounting system which have not been automatically generated, including team oversight
- Collaborate with the UK-based team to manage workflows and complete tasks
- Generate management and control reports and perform analysis of the same, including team oversight
- Assist the team in performing general administrative tasks
- To ensure any resource issues are escalated to team management as a priority
- To ensure the teams daily checklists are completed and all control activities are actioned
- To identify and escalate areas of risk
- Working in an international environment where English is the primary language used in systems and e-mails
- Ability to build and maintain partnerships within the various product aligned businesses and across other corporate financial, treasury, and accounting groups, external vendors and Corporate Accounts Payable
- Require intensive contact with on-shore middle office teams, Front Office personnel for break investigation and break resolution
- The candidate is required to have good understanding Cash Equities products and front to back knowledge of the order flows
- Ability to communicate issues/breaks with reasoned and detailed argument is essential
- MIS production of breaks and trending will be required with the candidate needing to understand the trending, so that they may liaise with IT to fix systemic issues
Cash Control Job Description
- To aid in the resolution of all exception issues
- Monitor team mailbox
- Performs daily quality assurance functions for IRA/Variable Annuity/Retail Bank cash transactions and New Business applications
- Serves as a backup to daily cash and application processing functions
- Processes related audits
- Assists with training new cash and application processors
- Assists with monthly and quarterly reports/projects
- Supervise and assist with all till assignment for all shifts and cash pick ups
- Supervise Cash Control Team Members, including providing feedback that directly impacts discipline, rewards/recognition, and termination decisions
- Perform daily cash audits following corporate guidelines
- An organized individual with good time management, prioritising tasks and able to meet competing deadlines across the suite of reconciliations within the Middle Office
- Ability to coordinate with various teams to action items, owning issues and leading solutions
- Mature in thought in communications
- Ability to contribute and challenge to improve performance and at the same time be able to communicate with peers and other senior members of the team, senior stakeholders and Front Office
- Willingness and ability to share knowledge with other team members
- Ideally you will have a strong understanding and good working knowledge of the financial services industry and have a basic understanding of products and markets
Cash Control Job Description
- Communicate effectively with park and cash handling employees
- Keep all work areas clean, safe and in a professional manner
- Walk the park extensively monitoring cashier activity
- Distribute and collect cashier tills at the beginning and ending of shifts
- Perform various forms of audits as assigned by the Finance Manager
- Use various software programs to record accurate till and sales information
- Use various office equipment and general functions computer functions
- Collect cash, coin, and/or tickets, and organize
- Walk the park extensively monitoring cash handling activity
- Verifying all items (money, accounts receivable, credit cards slips, ) collected during cash pickups or turned in by the cashiers each day
- Booking transactions and performing reconciliations of internal systems and bank statements
- Preparing cash flow projections and maintaining cash balances
- Minimum one (1) year experience in related function such as cash processing or general accounting
- Ability to collaborate and work with all levels of management and teammates to accomplish daily deliverables
- Experience in Accounting or Cash Control preferred but not required
- Must be able to demonstrate excellent written and oral communication and interpersonal skills
Cash Control Job Description
- Daily Receiving Log
- Driver Check-In
- Daily Inventory Control Logs
- Other duties as assigned by management - Filing
- Daily payments from clients reconciliation in the system
- Timely clients payments monitoring
- Regular communication with clients and responsible account managers in order invoices have been paid on time
- Overdue monitoring
- Monthly cash flow monitoring
- Operate currency and coin machinery
- Must possess strong leadership, motivational and organizational skills
- Computer experience required, especially with Microsoft Excel and Word programs
- Must be proficient in basic mathematics and must be able to use a 10-Key Calculator
- Must be able to work professionally and productively with all levels of management including other Supervisors and Managers Directors and the General Manager
- Must be willing to handle cash
- Of team members and desire to assist with and resolve questions, problems