Treasury Representative -Coralville

Brighton-Consulting-Group

Coralville (IA)

On-site

USD 28,000 - 44,000

Full time

5 days ago
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Job summary

Brighton Consulting Group is seeking a Treasury Representative to manage ACH and electronic payments for clients, supporting Accounts Receivable, Accounts Payable, and Payroll. The role emphasizes accuracy, strict controls, and timely processing, with cross-training across AR and Claims as needed.

Responsibilities include batch preparation, posting payments, reconciliation, and client communications. Strong Excel skills and experience with financial operations are required; this is a full-time

Qualifications

  • Capable of working effectively independently and in a team environment.
  • Exceptionally detail oriented with high accuracy in processing financial transactions.
  • Flexible and adaptable to changing work environment.
  • Proficient in Excel and Microsoft Office.

Responsibilities

  • Process authorized ACH and electronic payment transactions accurately and timely.
  • Prepare, validate, and process payment batches; verify totals, dates, accounts, and docs.
  • Post ACH and electronic payment activity to resident/client accounts and reflect in AR system.
  • Monitor ACH returns, rejections, retries, and escalate as needed.
  • Maintain transaction controls and complete audit trails per procedures.

Skills

Detail oriented
Independent worker
Team collaboration
Time management
Client communication
Financial transactions knowledge
Excel proficiency

Education

Associate Degree in Accounting, Finance, Business or similar

Tools

Wellsky Software
Excel

Job description

Job Description
Treasury Representative

Resident Accounts Management

Position Summary:

The Treasury Representative is responsible for the accurate and timely processing of ACH and other electronic payment transactions on behalf of BCG clients. This position supports other departments (such as Accounts Receivable, Accounts Payable, and Payroll) through payment batch preparation and posting, transaction controls, reconciliation, exception handling, account maintenance, reporting, and client banking support. The role requires exceptional accuracy, sound judgment, and strict adherence to established authorization and documentation procedures.

General Job Duties:
  • All employees are responsible for a basic knowledge of the employee handbook and must conduct themselves with behavior that supports these values.
  • All employees are responsible for making the most of their working time and reach maximum potential by being on time for appointments, checking voicemails/emails as appropriate, and completing deadlines in a timely manner.
  • All employees are expected to escape issues as necessary.
  • All employees will specifically be trained on their job duties, however; other mandatory trainings may be deemed appropriate by management for one or all members of the team.
  • All employees must occasionally collaborate with the leadership team to create, revise, and maintain accurate job descriptions.
  • All employees must occasionally train new team members and cross train as appropriate.
  • All employees must keep client information confidential and in accordance with regulations.
Essential Job Functions:
  • Process authorized ACH and electronic payment transactions accurately and timely, including high-volume and high-dollar transactions.
  • Prepare, validate, and process payment batches; verify totals, effective dates, account information, and supporting documentation prior to submission.
  • Validate banking information and payment authorizations, including account and routing information, and maintain accurate banking records in applicable systems.
  • Post ACH and other electronic payment activity to resident/client accounts and ensure transactions are accurately reflected in the Accounts Receivable system.
  • Monitor ACH returns, rejected or failed transactions, and retries; research causes and complete timely resolution or escalation.
  • Perform independent reconciliation of processed transactions, bank activity, payment batches, and Accounts Receivable records; research and resolve discrepancies.
  • Maintain transaction controls and documentation, including complete audit trails, approvals, supporting records, and adherence to established processing procedures.
  • Manage payment exceptions and account maintenance, including corrections, banking changes, transaction issues, and other items requiring research and problem resolution.
  • Serve as a point of contact for client payment and banking matters; communicate with clients and financial institutions as needed to resolve transaction issues and support banking relationships.
  • Prepare and review payment, reconciliation, exception, and Accounts Receivable reports; identify errors or unusual activity and escalation concerns promptly.
  • Follow established client and internal processing calendars, authorization requirements, transaction limits, security protocols, and deadlines.
  • Independently take on clients after introductory training period.
  • Conduct yourself professionally with clients and other team members at all times. Escalate customer and/or account concerns to your direct supervisor. Ensure the highest level of customer service possible.
  • Complete client education and relationship building as needed.
  • This position is responsible for cross training with Claims and Accounts Receivable roles to the point of covering their roles during times of absence.
Position Requirements:

The requirements listed below are representative of the knowledge skills and abilities required. Employees who do not possess the requirements for a job at the time of hire will not be considered for the position. Reasonable accommodations may be made to enable individuals with disabilities to perform the essential functions.

Required Skills and Experience:
  • Capable of working effectively independently and in a team environment.
  • Must be exceptionally detail oriented and demonstrate a high degree of accuracy when processing financial transactions.
  • Flexible and adaptable to changing work environment.
  • Ability to prioritize multiple tasks and manage time efficiently.
  • Communicate in a positive manner with clients and elevate any issues and/or messages to the leadership team.
  • Working knowledge of financial transactions, reconciliation, internal controls, and Accounts Receivable processes.
  • Flexibility pertaining to client needs and requests.
  • Must be able to efficiently use Microsoft operating systems, with high proficiency in Excel.
Desired Skills and Experience:
  • Wellsky Software
  • Experience with HIPAA compliance and PHI
  • Experience with ACH/electronic payment processing, banking, treasury operations, bookkeeping, Accounts Receivable, or related financial operations
  • Experience with payment reconciliation, exception handling, transaction controls, or high-volume financial processing preferred.
  • An Associate Degree in Accounting, Finance, Business or a similar field, or equivalent relevant work experience.
Language Requirements:

The primary language of Brighton Consulting Group is English. Excellent communication skills are defined as the ability to:

  • Actively listen for total comprehension
  • Ask questions that enhance the understanding of a certain topic
  • Relay information and/or instruction in a descriptive and understandable fashion in both written and verbal forms
Physical Requirements:

Occasional lifting up to 20 lbs. may be necessary from time to time. Must be able to sit for long periods of time, use fine motor skills, have the ability to view a computer monitor, and type (up to 8 hours a day). Additionally, there may be exposure to moderate noise levels due to the office functions (i.e. talking, printing, copying, etc.)

FLSA Status:

Non-exempt/Hourly: This position is paid an hourly rate and therefore is eligible for 1.5 times the normal wage for every hour over 40 worked in a given work week. Overtime must be preapproved by your supervisor.

Employment Status:

Full time: This position at BCG requires at least 40 hours a week. Occasionally, time over 40 hours may be necessary to meet the requirements of the position. Full-time employees are eligible for employee benefits.

Supervision Requirements:

This position supervises: None.

This position reports to: Accounts Receivable/RAM Supervisor.

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