Complete and submit bank reconciliations for non-appropriated bank accounts for approval, process petty cash transactions through reconciliation and submit for approval to replenish Conducts complex reconciliations as required, process customers payments received for Ohio Penal Industries (OPI) accounts receivable through OAKS and Syteline. Submits all types of revenues including electronic wire transfer (Grants, Offender Supervision Fees, JPAY, etc.) through a pay-in for approval to be deposited to the Ohio Treasurer of State.