Specifications include, but are not limited to: 1.2.1 Pension Administration: Oversee the accurate and timely administration of retirement and disability benefits, including payroll processing, beneficiary management and pension calculations. 1.2.2 Accounting: Record all records of Cash Disbursements and Cash Receipts. Balance Investment Manager accounts to the Trial Balance on a monthly basis. Forward the accounting reports to PERAC and respond to any inquiry upon submission. 1.2.3 Member Services: Assist all members of the Retirement System with services including but not limited to retirement applications, buyback calculations, transfers, refunds and retirement estimate calculations. 1.2.4 Board Relations and Reporting: Facilitate monthly meetings of the Retirement Board by posting public meeting notices, preparing agendas, producing meeting minutes, and managing remote access to meetings.