Payment Specialist II

Cavco Industries Inc

  • Plano, TX
  • 18 days ago

    Highlights

    Perform daily manual posting of wire transfers, western union, coupon-less lockbox payments and all other payment types; reconcile 100% to bank deposit confirmations. CountryPlace Mortgage, a leading nationwide personal property and mortgage lender headquartered in Plano, TX, is seeking a Payments Specialist II to join our Finance Team.

    Numbers & Facts

    LocationPlano, TX

    Description

    ABOUT THE ROLE

    CountryPlace Mortgage, a leading nationwide personal property and mortgage lender headquartered in Plano, TX, is seeking a Payments Specialist II to join our Finance Team. This in-person role, based in our Plano, TX office, offers an exciting opportunity for an individual to develop analytical skills in a high-impact environment. The Payment Specialist II will work closely with various departments in a highly visible role, driving cross-functional collaboration. This position is a combined accounts payable and accounts receivable role and reports directly to the Controller.

    ESSENTIAL DUTIES & RESPONSIBILITIES

    Accounts Receivable

    • Perform automated posting of daily ACH and lockbox payments in loan servicing system; reconcile 100% to bank deposit confirmations
    • Perform daily manual posting of wire transfers, western union, coupon-less lockbox payments and all other payment types; reconcile 100% to bank deposit confirmations
    • Use desktop check scanner to electronically deposit checks physically received at the home office and manage storage according the company policy
    • Post ACH returns and NSF check reversals in loan servicing system and reconcile 100% to bank returns reporting
    • Responsible for managing and applying prepaid dealer interest deposits
    • Record accounting journal entries for all cash received that is other than loan servicing (e.g., vendor refunds)
    • Record and manage remittance of payments received from customers where servicing has been released
    • Process all deferral and supplemental payment programs in the loan servicing system and prepare related journal entries in the general ledger
    • Credit customer accounts for interest on escrow and setup monthly wire transfer
    • Post payments received from bankruptcy trustees and monitor for discrepancies in arrearage balances
    • Regularly monitor unapplied funds balances and ensure all funds are applied at month-end
    • Process charge adjustments in the commercial loan servicing system and assist the commercial servicing team with account research

    Accounts Payable

    • Monitor the accounts payable mailbox and create purchase orders for all duly authorized invoices/check requests, ensuring compliance with applicable disbursement policies
    • Ensure that purchase orders are coded in accordance with department policy and generally accepted accounting principles
    • Receive and invoice all purchase orders daily and ensure appropriate sign off by the Controller
    • Print daily checks based on Controller sign-offs and distribute to business departments timely
    • Process all void transactions in a timely manner including reissues and cancellations, always ensuring funds are still available at the bank
    • On a weekly basis, clear out negative purchase orders for void transactions not resulting in reissues
    • Approve all employee expense reports in accordance with company policy using the Emburse system
    • Track insurance claim disbursements manually in the insurance claim log
    • Monitor vendor statements to ensure that all accounts are paid current
    • Assist Controller in review/allocation of doc prep charges that are billed in bulk monthly
    • Charge customer accounts appropriately for all property preservation and legal invoices in accordance with instructions from customer service
    • Management of accounts payable records, including invoice copies, check requests, and voided checks
    • Enter all outgoing wire transfers in the banking module for release by the Controller (e.g., loan fundings, remittances, escrow wires)
    • Enter all outgoing ACH transfer in the banking module for release by Controller (e.g., customer refunds)
    • Consistently meets and exceeds individual, team and department objectives
    • Perform other duties and special projects as assigned

    POSITION REQUIREMENTS, CAPABILITIES & SKILLS

    • Strong attention to detail with a high degree of accuracy
    • Proven ability to identify, analyze, and resolve issues efficiently
    • Highly organized with strong multi-tasking and time management skills
    • Strong analytical and critical thinking abilities
    • Effective decision-making, customer service and problem-solving skills
    • Ability to prioritize efforts to achieve goals
    • Ability to collaborate with individuals across all levels
    • Consistently maintains a positive & professional demeanor
    • Demonstrates urgency and a strong sense of ownership in all activities
    • Self-motivated with the ability to work independently

    MINIMUM QUALIFICATIONS

    • 3+ years' experience with accounts payable or accounts receivable required
    • BA/BS degree in accounting or finance required
    • Working knowledge of Microsoft Office

    WE OFFER

    • Competitive Salary
    • Medical/Dental/Vision Insurance
    • Paid Holidays
    • 401K Match
    • Generous PTO
    • FSA/HSA Plans
    • Life /Disability/Accidental Insurance and much more!

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