What are the responsibilities and job description for the Financial Transaction Coordinator position at NEWDAY USA?
We are seeking a skilled Financial Transaction Coordinator to support our disbursement operations by disbursing closed loans and utilizing software and financial institution programs.
Responsibilities:
- File Disbursement: Prepare and disburse assigned files by printing invoices, creating shipping labels, printing checks, and creating outbound wires.
- Business Transaction Verification: Verify and post detail of business transactions including incoming wire amounts, outgoing wire amounts, payee, and amounts for the disbursement checks to the ledgers & system of record.
- Inquiry Response: Research and respond to inquiries from lenders, borrowers, or other disbursement recipients related to the transaction.
- Customer Service Support: Provide customer service support to both Lenders and Borrowers including processing replacement checks, updating disbursement ledgers, check image retrievals, stop payments, wire confirmations.
- Reconciliation Item Support: Research and provide supporting information to accounting for reconciliation items.
- NDI Support Coordination: Coordinate and work with NDI support team.