The Public Entity Joint Insurance Fund
Special DistrictNJ
Posted
Oct 8, 2026
Nov 6, 2026
Fund Treasurer (Request For Proposal)
Fund Treasurer: A. Deposit all receipts in bank accounts within 48 hours of receiving same. B. Review all expense payment vouchers, checks and receipts prior to presentation of the bills’ list to the Executive Committee. C. Sign and distribute all expense payment checks. D. Fund claim impress accounts in amounts requested by claims administrators. E. Compare claims administrator and treasurer records of claim payments, recoveries, voids, and adjustments and report variances to the claims administrator and Executive Director/Administrator. F. Reconcile all checking and investment accounts prior to submittal of monthly reports to the Executive Committee and Executive Director/Administrator. Submit a monthly report of cash and investment activity to the Executive Committee in a format acceptable to it. See attached file.
