Severity: Notice
Message: MemcachePool::get(): Server 127.0.0.1 (tcp 11211, udp 0) failed with: Connection refused (111)
Filename: drivers/Cache_memcached.php
Line Number: 142
Backtrace:
File: /home/theinjobs/public_html/application/controllers/Indeed.php
Line: 536
Function: get
File: /home/theinjobs/public_html/application/controllers/Indeed.php
Line: 863
Function: indeed_job_details
File: /home/theinjobs/public_html/index.php
Line: 316
Function: require_once
Employment Type : Full-Time
Reconciles the University’s bank accounts, including Depository, Operating, Payroll, Check Cashing, Income Fund, Revenue Bond and bond and interest sinking accounts. This reconciliation is not a normal bank reconciliation, but is a complex reconciliation of all of the University’s financial system accounts with cash transactions recorded on the books (in the system) and at the bank. Reconciles the Property Accounting System to the Financial Accounting system on a monthly basis. Prepares various monthly locally held and credit card account reconciliations including the student disbursement account, the Comptroller’s reconciliation, and the reconciliation of various other receivable accounts. Prepares DPAs, RFPs, and makes pcard purchases for office supplies and various other office needs including ordering toner and calling for repairs for copie Records various transactions including but not limited to credit card activity, equipment purchases, and grant matching entries. Prepares various quarterly reports including the quarterly plant fund report (C-15), quarterly board report, and quarterly locally held fund reports (C-17s). Prepares monthly Athletic report. Reviews and maintains all petty cash accounts. Monitors daily bank positive pay activity. Other duties as assigned.
Required Qualifications: