Exception Processing Specialist

City BankLubbock, TX
Onsite

About The Position

Employee must be responsible for researching and resolving deposit account exceptions and non-routine transactions. In addition, the Exception Processing Specialist is responsible for performing daily duties in an efficient, accurate, and timely manner. Employee must have a good knowledge of banking operations and be able to handle multiple tasks within an allotted time. Provide internal and external customer service in person or by phone. Must have a positive attitude and provide suggestions to improve working conditions.

Requirements

  • Good knowledge of banking operations
  • Able to handle multiple tasks within an allotted time
  • Positive attitude

Responsibilities

  • Represent the bank in a professional, courteous manner at all times.
  • Provide prompt, accurate, and efficient support to internal and external customers.
  • Maintain a clean and professional work area.
  • Participate in training sessions and stay updated on departmental procedures.
  • Unposted DDA and GL items — review and resolve items based on account status, officer input, and bank policy.
  • NSF items — review and resolve items based on account balance, officer input, and bank policy.
  • Chargebacks — process items received from the Federal Reserve or identified internally.
  • Positive Pay exceptions — review and correct any checks discrepancies; return checks marked for return or left undecided by the customer.
  • Manual Returns - process any returns that are requested from city banks various departments
  • Enter missing General Ledger descriptions accurately
  • Move approved ACH credit items to the customer’s requested account promptly.
  • Monitor and submit all incoming and outgoing large item return notifications through the Federal Reserve
  • Process debit card adjustments as needed.
  • Process and close customer accounts.
  • Prepare and mail off customer hold statements and DDM Statements.
  • Apply monthly service charges to Small Business and Commercial accounts.
  • Maintain Account Analysis services for qualified business customers.
  • Issue account refunds
  • Review and process all third party Verification of Deposit Systems
  • Review and act upon daily Synergy reports.
  • Review and Process all third Party product orders this includes: Reich & Tang and IntraFi Products
  • Reconcile third-party off-balance sheet products.
  • Provide support across other Deposit Operations functions as needed.
  • Perform additional duties as assigned by management.
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