ATL Pension - Pension Administrator
Kingston, Jamaica
Full Time
Finance and Operations
Entry Level

Pensions Administrator
Duties and Responsibilities:
- Prepare Valuation Data for the preparation of triennial Valuations for local and regional funds.
- Prepare annual year-end accumulated balances
- Reconcile monthly termination pay-outs to cash-flow and GL for local and regional funds.
- Create and manage deferred annuity files and log.
- Prepare and dispatch deferred certificates to deferred members and financial institutions for transfer out after payments are processed and deposited into individuals' bank accounts.
- Check pension refund/retirement/deferral calculations (for local and regional Funds) or dispatch to the Accounting Department within 10 working days of the member's termination date or date of receipt, whichever is later.
- Ensure that contributions data is input, balanced, and processed live by the 9th of each month for assigned companies for assigned local and regional companies.
- Manage monthly and annual pension accounts for staff of employee benefits and GORSTEW.
- Update pension log for assigned companies.
- Update the pension log for assigned companies.
- Update the pension contribution reconciliation File with all data/reconciliation relating to assigned companies monthly.
- Update all assigned company files with the current month's contribution upload records.
- Assist with the management and submission of the terminations log via email to HR Personnel, notifying them of all terminated members who have not been refunded pension contributions, quarterly.
- Create and manage pension transfer logs.
- Create and manage incomplete death payments files and logs.
- Prepare scripts for reports from the pension admin system as needed.
- Assist with quarterly compliance and control checks of the company's accounting operations with a focus on balancing of sub-ledgers to the General Ledger.
- Provide pension account daily balances as requested by HR representatives or members.
- Reconcile contributions annually for the year-end actuarial valuation exercise for assigned companies.
- Print and check annual members' statements for dispatch to auditors and then to properties.
- Assist with the operations section and coordinate the completion of the Plan's annual report for submission to the trustees via the operations and manager by July 31st.
- First degree in Finance, Actuarial Science, Management, or equivalent, from a recognized educational institution.
- At least two (2) years' experience in Pension/Employee Benefit Administration.
- Experience with an SQL-based pension administration system would be an asset.
- Proficiency in Microsoft Excel and Word is required.
- Effective oral and written communication skills.
- Sound knowledge of the Pensions (Superannuation Funds and Retirement Schemes) Act, 2004, and its attendant regulations.
- May have to work outside of regular working hours for annual member statement preparation and dispatch, and at any other time as required.
Please note: Only shortlisted candidates will be contacted. Thank you for your application!
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