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What you'll do:
RReporting to the Manager, Accounting Programs and is responsible for processing and reporting of all customer transactions related to the AgriInsurance, AgriStability, AgStabilization, and Western Livestock Price Insurance programs.
Key all customer account transactions into the Customer Accounting System.
Prepare and enter financial data into the Global general ledger.
Schedule and process cheque runs.
Resolve discrepancies with banks, customers, and Customer Service Offices (CSOs).
Prepare bank reconciliations.
Respond to inquiries from internal and external customers and determine the appropriate course of action.
Assist with annual financial audit by conducting audit analysis and working papers.
Assist the collections team by verifying cheque run reports and account information.
Provide statistical analysis for internal/external customers.
File records, cheques, and financial reports.
To learn more about this career opportunity and apply, please visit SCIC's career page at www.scic.ca