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Data Entry Financial Services

Location:
Downtown Toronto, ON, M5S 0A2, Canada
Posted:
May 02, 2024

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Resume:

Carlton S. James

***-*** ******** ******, *******, ON M5A 3Z1,Tel: 416-***-**** ad5fxy@r.postjobfree.com

Highlights of Skills and Qualifications:

Highly skilled financial services professional and administrator with exceptional problem solving capability and effective time management skills.

Highly skilled in processing complex funds transfers requests, ensure 100% accuracy and timely management and recording of all financial records.

Subject matter expert in data entry management of financial records and account reconciliation, and filing systems management to support bookkeeping records.

Ability to identify ATON and NON-ATON transactions and initiate accordingly in keeping with established SLA.

Advance knowledge of customized software and accounting databases including Accpac, Simply Accounting, Excel, QuickBooks, FundSERV and Dataphile.

Advance knowledge of financial report preparation, accounts analysis and out-of-balance accounts reconciliation.

Exceeded monthly goals and targets expectations.

Bachelors Degree in Business Operations and E-Commerce.

Advanced certificate in Accounting.

Work Experience:

SUNLIFE

Client Service Representative 09/2021 – 06/2022

Updated client files, make proactive calls to internal business partners for outstanding invoices/transfers.

Make electronic cash application payments.

Prepared and distributed invoices (investment sheets).

Prepared and disseminated contracts to Mutual Funds Dealers and other stakeholders.

Coordinated incoming cheques while ensuring information accuracy, integrity, and thoroughness.

Performed miscellaneous account maintenance to customer accounts.

Make proactive and responsive calls to internal and external business partners to address clients concerns.

Engaged Microsoft excel software for excel spreadsheet cheques processing.

BMO

Mutual Fund Processor – Senior 04/2019 – 04/2021

Executed various miscellaneous functions to maximize operational efficiency and effectiveness.

Responsible for trades reversals and loss collection.

Responsible for all financial and non-financial transactions including rejects when deemed applicable.

Performed LOBs, reconciliation, trade corrections and QC functions within the department. Serviced as point of contact between clients and internal business partners.

Knowledge of Registered Plans risk mitigation strategies, Livelink and R-Term.

Established and closed clients account, rollovers and initiate T2033 and T2151 transfer forms to relinquishing institutions.

Prepared daily and monthly metrics (stats) AAT, JHN, JHI and BLA for onshore and offshore.

Reconciled daily predeposit cheque batches deposit for bank purposes.

Scotiabank, Toronto 09/2015 – 03/2018

Senior Reconciliation Officer

Promoted from contract position to full-time staff position to provide accounting expertise for reconciliation of manual and non-manual trade accounts

Ensured that all the accounts and Registered plans were accurately reconciled and balanced.

Ensured Mutual funds are entered into the system Based on clients’ requests.

Reconciled MPower cash and positions accounts to ADP control account, researched account balances, processed closing accounts and responded to all enquiries.

Ensured that the mutual funds invested by the clients are balanced and updated in the system

Performed month-end and quarterly-end reconciliation for cash and position accounts

Coached and guided team members on reconciliation functions

Scotiabank, Toronto 11/2012 – 09/2015

Senior Portfolio Reconciliation Officer (Contract)

Reconciled accounts for Summit Trading, investigated out-of-balance accounts, and compiled spreadsheet reports

Compiled cover page reconciliation report listing for AS400 balance to ADP cash balance, and resolved all DAP accounts, and trained staff on Summit reconciliations

DWM Securities Inc. Toronto 10/2011 – 11/2012

Associate, Mutual Funds Reconciliation - Contract

Processed mutual fund non-financial transactions, ensured account updates and accuracy, and opened accounts for reconciliation purposes, and replied to fund company inquiries regarding missing applications and account changes

RBC, Toronto 03/2011 – 07/2011

Data Processor (Short-term Contract)

Processed data from New Work Form to Excel spreadsheet and Access database, verifying accuracy and data integrity

Uploaded data using Bookname program to verify client information against statements

Processed daily ATON RSP, RIF, LIRA, TFSA, and cash wire transfers

Verified RSP type and loaded to Excel spreadsheet for client asset list process

Spad aging ATON accounts to reflect current standing and confirmed asset list returns.

Processed daily mortgage journals, Right Faxes, Grads, RBC Express and PSC data

Cross-referenced 02866/02916 BSC proofs, ensuring tapes balance to cheque amounts

Cross-referenced PeopleSoft data, ensuring accuracy of journal entries

Performed privacy checks to ensure confidentiality of clients’ data

CIBC Mellon Global Securities Service, Toronto 06/2005 – 11/2009

Reconciliation Specialist, Pooled Funds

Processed 150+ trade instructions for clients and investment associates on daily basis, and processed Canadian and American cash transfers

Reconciled client statements to custody holdings, ensured accurate balances, reconciled department suspense accounts and followed up on outstanding balances

Updated daily master reconciliation spreadsheets, prepared reconciliation statistics for management reports and organized daily and quarterly department meetings

Participated in cross-department training to ensure service continuity and achievement of goals, and processed accurate daily and monthly investment prices

Education and Professional Development:

Centre for Education and Training, Toronto: 2018

Self-directed online learning

www.alison.com Diploma in Legal Studies, in process

DeVry Institute of Technology, Calgary, Alberta: 2004

Bachelors Degree in Business Operations and E-Commerce

Recognized with Academic Distinction Award for Senior Project

George Brown College, Toronto: 1987-1988

Certificate in Accounting



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