Provides back office support for deposit operations by sorting account and maintenance documentation, maintaining the department inbox, and processing any maintenance needed for back office processing. Responsibilities Responsible for adhering to operational controls, including applicable laws, rules and regulations such as the Bank Secrecy Act (BSA), Office of Foreign Assets Controls (OFAC), NACHA Rules, Regulation E, Regulation J and Uniform Commercial Code (UCC). Responsible for sorting through Capture documents, indexing them, and finalizing them for review. Maintains Deposit Services inbox, completing any maintenance necessary or passing on request to appropriate employee. Responsible for the quality control of Canadian Check Review Verifies Account Analysis Exceptions, completing appropriate maintenance to clear any errors. Responsible for the input of manual HSA deposits Inputs closure of safe boxes in the system upon receiving proper documentation. Scans and indexes daily work. Input of Canadian and Federated Rates Assists other representatives and departments when needed. Other duties may be assigned.
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Job Type
Full-time
Career Level
Entry Level
Education Level
High school or GED