Escrow Accounting Specalist
CurrentAs an Escrow Accounting Specialist I am responsible for managing and reconciling of funds involved in real estate transactions. This includes; daily reconciliation of each bank account, balancing ledgers, fixing previous files to correctly match reports, creating and improving reports/reporting tools to assist myself and coworkers, assisting Escrow Officers with accounting issues, communicating with other companies involved in the transaction, communicating with banks to send and receive funds as well as resolve issues, vetting and disbursing a high quantity of funds, and training coworkers on processes that I have created or improved.