跳到主要內容

SPE- US Residential Mortgage Investor Reporting

00067721971

Objectives

The Investor Accounting specialist plays an important role in the organization by performing several activities related to the Loan Servicing functions. The role is primarily responsible, under general supervision, for performing several accounting-related tasks in support of the department, such as, reporting, balancing, preparing reports, maintaining accurate records, identifying payment discrepancies, providing analysis, etc.

The associate is expected to process items accurately and optimally in accordance with laid down procedures and maintain requisite standards of quality and productivity. He/she will report to the Team Leader, who will be the first point of contact for any issues, questions or concerns.

Key Result Areas (KRAs)

Productivity:

Ø Sr. Process associate is expected to meet or exceed the set / agreed target in a given timeframe, both during the training period and in the period following training.

Ø The productivity targets will be revised based on the tenure and any such changes will be made known to the associate.

Quality:

Ø Sr. Process associate is expected to meet and exceed the minimum quality benchmark according to the guidelines specified.

Ø The quality targets will be revised based on the tenure and any such changes will be made known to the associate.

Feedback:

Ø Sr. Process associate is expected to be open and receptive to feedback and should view the feedback mechanism as a tool for constant self-improvement and process development.

Qualification: (SPE)

Ø Graduate in any discipline

Ø 1+ year of Experience in Mortgage, BPO, Transaction/ Data Processing background.

Qualification: (SME)

Ø Graduate in any discipline

Ø 4+ years of experience in Mortgage, BPO, Transaction/ Data Processing background.

US Mortgage – Investor Accounting Experience

· Daily and monthly Principal & Interest, Taxes & Insurance custodial account reconciliations. Research and resolve all variances.

· Knowledge of Cashflow, Clearing Accounts, P&I Cashbook and T&I Custodial accounts reconciliation of PLS, FNMA, GNMA, FHLMC Investors.

· Strong knowledge and proficiency with investor accounting principles and concepts, including debits and credits, cash flow requirements, bank reconciliations, etc.

· Extraction of daily bank activities, creation of back up files, Prepping the recon to balance it and research any outages for missing data files, missing back up files.

· Ensure data accuracy between banking information and servicing records.

· Validation of classification of transaction as remittances, wires, advances per transaction description and verify backup in servicing system.

· Verify all bank activity with servicing records and mapping of all collections with remittances made to the Investor.

· Verify the current month outages and update the suitable clearing action to clear the outage from the recon.

· Verify the bank activity with the servicing system at loan level and any discrepancies in the transactions are validated with backup in servicing system

· Roll forward previous months recon and set off the reconciling items and then analyze/ research the open items and update the notes on these reconciliations.

· To work on age review file and preparation of wire back up file to ensure accurate movement of funds.

· Verify funds owed and available for investor principal and interest remittances, and advance funds when necessary.

· Ensure all cash adjustments are researched and cleared by required deadlines.

· Ensure daily and monthly activity is completed timely and accurately, and that each accounting cycle cutoff is completed by the required deadline.

· Respond to routine investor inquiries and audits, escalating if necessary.

· Analyze and report impact of reported data on borrowers, investors, and the company.

· Recover servicing advances to ensure minimal aging.

General:

• Work independently in a fast-paced, deadline-driven environment.

• Highly organized with the ability to manage multiple priorities, strong sense of urgency

and responsiveness.

• Strong detail orientation and highly organized; follows through on all open issues.

• Apply analytical skills and sound judgment to assess impact on borrowers, investors,

and company.

• Proven excellent reporting, letter preparation, group presentation and other related

communications skills.

• Sound judgment, ability to think critically.

• Intermediate to advanced math and Excel skills.

• Ability to use a 10-key by touch quickly and accurately.

• Must work the days and hours necessary to perform all assigned responsibilities and

tasks. Must be available (especially during regular business hours) to communicate with

employees, customers, managers and any other person or organization with whom

interaction is required to accomplish work and company goals.

• Must maintain courteous, professional, and effective working relationships with employees at all levels of the organization, customers, vendors and/or any other representatives of

external organizations.

• Communicate information and state problems or challenges to be resolved in a clear,

concise, courteous, nondiscriminatory and professional manner, and be able to provide

clarification if necessary.

• Must be capable of adapting, with minimal or no advance notice, to changes in how

business is conducted and work is accomplished, with no diminishment in work

performance.

• Actively participate in quarterly performance meetings; meet or exceed all performance

metrics.

• Follows company policies and procedures.

• Perform other duties as required.

Skill Sets

Ø Typing speed of 20 - 30 words/min with 98% accuracy.

Ø Good analytical skills, research knowledge and decision making.

Ø Knowledge of Ms-office(Excel)

Ø Good written and spoken communication skills.

Ø Ability to work in shifts (A/B/C)

Ø Willing to work 6 days a week.

Ø SQL or other database reporting experience preferred.

Ø Knowledge of basic accounting principles and practices.

Ø Solid analytical skills, particularly regarding assessing the probability and impact of an internal control weakness.

Ø Proven ability to build strong relationships with stakeholders, learn quickly, be flexible and think strategically.

Ø Strong communication skills to interact with Senior Management and other business units.

Ø Working understanding of operational risks and related controls.

Ø Strong organizational and time management skills necessary.

Ø Ability to manage multiple tasks and shift priorities as appropriate to meet reporting deadlines and maintain reporting accuracy and analysis abilities with strong attention to detail.

Ø Self-motivated with strong attention to detail and excellent organization skills.


关于高知特 (Cognizant)
高知特(Cognizant)(纳斯达克代码:CTSH)作为一家AI Builder和相关技术服务提供商,致力于通过打造全栈AI解决方案,帮助企业将人工智能投资转化为实际价值。公司凭借深厚的行业经验、流程优化和工程技术专长,将企业独特的业务场景融入科技系统,赋能组织释放人才潜能,推动切实成果,并帮助全球企业在瞬息万变的环境中保持领先。如需了解更多详情,敬请访问 cognizant.ai 或关注@cognizant。

补充雇佣信息
薪酬信息截至本职位发布之日为准。Cognizant 保留在适用法律允许的范围内随时修改该信息的权利。
申请人可能需要通过现场面试或视频会议的方式参加面试。此外,候选人在每次面试时可能需要出示其当前所在州或政府签发的有效身份证件。
Cognizant 是一家提供平等就业机会的雇主。在招聘过程中,您的申请和候选资格不会因种族、肤色、性别、宗教、信仰、性取向、性别认同、国籍、残疾、遗传信息、怀孕、退伍军人身份或任何其他受联邦、州或地方法律保护的特征而受到影响。

帮助您蓬勃发展与成长的福利

我们的福利计划以您为中心打造——帮助您享受充实、平衡且健康的生活。
有葉子的植物的藍色線條圖

财务健康

我们会定期审查市场数据,确保薪酬体现您所带来的价值。您的福利不仅限于薪资,还可能包括退休计划、财务教育等。

Stay Healthy Midnight Blue RGB

身心健康

我们通过带薪休假、在条件允许下的灵活工作安排、医疗保障计划、心理咨询、心理健康盟友计划等,赋能您将身心健康放在首位。

Build The Career You Want Midnight Blue RGB

您的职业发展,由您做主

在 Cognizant 提供的 35 万多个岗位中,您将有机会探索新的技术、行业和工作地点,并打造推动职业发展的关键技能。

Making A Meaningful Impact Midnight Blue RGB

现实世界的影响力

想想您所依赖的那些知名品牌。很可能,他们也依赖我们来帮助强化其业务。在这里,您将把大胆的想法转化为改善全球生活的解决方案。

还没有找到合适的机会吗?

获取为您量身定制的最新职位机会、招聘活动和公司新闻!

掌握最新动态