Finance Entry Level
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Transcript of Finance Entry Level
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7/28/2019 Finance Entry Level
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7/28/2019 Finance Entry Level
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Responsibilities: Learn and understand the correct interpretation of servicing agreements. Prepare monthly remittance reports and delinquency reports for investors and trusts. Facilitate the accurate and timely submission of reports and funds transfer to
investors and trusts as specified by the servicing agreement. Perform an analysis and comparison of remittance reports to trustee prepared
reports, if applicable, and ensure the proper and accurate identification and clearingof all variances.
Work independently on projects and other assignments. Multi-task and troubleshoot any issues that arise which may have multiple variables
that fall outside stipulated guidelines and work closely within the department andwith other Ocwen departments to ensure their prompt and accurate resolution.
Act as a liaison and information resource between the Investor Reporting departmentand the trust or investor to answer questions and assist in the prompt resolution of any questions they may have or forward their inquiries to the appropriatedepartment or individual for assistance.
To work with the Automation Team in Investor Reporting to improve the existingprocess and reduce cost.
Salary package: 2.6 L + incentives (incentives are based on performance)Shift timings: 1 pm to 10:00 pm (required to stretch at times)Workplace : VTV (Sarjapur Road)Cab facility: Provided