Reconciliation Specialist
Listed on 2026-01-20
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Finance & Banking
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Administrative/Clerical
important note: only candidates who have a permanent administrative manager civil service title or are reachable on the current promotional exam no. 1552 will be considered for an interview. Please include in your cover letter your employee identification number (ein) and indicate whether you are a permanent administrative manager or provide your list number when applying.
nyc department of finance (dof) is responsible for administering the tax revenue laws of the city fairly, efficiently, and transparently to instill public confidence and encourage compliance while providing exceptional customer service.
the treasury and payment services division is responsible for overseeing all city payment websites, the payment processing of tax returns, property recording forms, parking violation programs, and the collection of delinquent accounts, and oversees the agency’s management of the city’s cash balances and its relationships with banking institutions. Treasury and payment services is also responsible for collecting outstanding violations issued by city agencies and adjudicated by the environmental control board.
the treasury division is responsible for managing city cash flows of over $135 billion annually, funding approximately $35 billion of city payrolls and over $77 billion of annual vendor payments, securing and managing collateral for over 4,450 city bank account balances, maintaining relationships with 29 city of new york-designated banks, serving as the fiduciary of approximately $195 million in court funds, and providing administrative support to the new york city banking commission.
the reconciliations unit is responsible for reconciling most of dof's bank accounts with fms, vendor payment systems, and agency source systems. The unit consists of staff who have experience with reconciling complicated bank accounts and related functions.
treasury is seeking a dynamic, motivated detail-oriented individual to join the dof treasury reconciliations unit. The successful candidate will serve as a reconciliations specialist reporting to the supervisor of reconciliations.
responsibilities- daily monitoring of a portfolio of accounts to minimize incidents of fraud and ensure no losses.
- daily/weekly/monthly bank reconciliations of a portfolio of accounts.
- participation in the annual closing process according to the nyc comptroller's office directives.
- identifying adjustments to be booked in fms
3. - ensuring accurate recording of cash receipts and disbursements in fms.
- participation in the creation of reports for dof senior management, comptroller's office, and omb, as needed.
- other projects assigned by the supervisor or manager.
- liaison between the department of finance and other city agencies, various banks, and various payment vendors.
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