Operations Specialist

First Western Bank & TrustMinot, ND
7dOnsite

About The Position

Responsible for completing daily operations activities for First Western Bank & Trust’s accounts to ensure the accuracy of records while adhering to the bank’s culture of excellence in customer service to its patrons.

Requirements

  • High School diploma or general education degree (GED) required
  • Demonstrate good communication including oral, written and listening skills
  • Courteous manners with the public and internal personnel
  • Ability to multi-task with high level of accuracy and attention to detail
  • Dependable in fulfilling assigned responsibilities
  • Proficient 10 key and computer processing skills with knowledge of Microsoft programs
  • Ability to handle confidential information with discretion

Nice To Haves

  • Associate’s degree in business-related field preferred
  • One year of banking, customer service or cashier related work experience preferred

Responsibilities

  • Greet visitors and customers in a courteous manner and work with them on various account issues
  • Assist customers with general bookkeeping including but not limited to account transfers, stop payment requests, account closures and balancing issues
  • Answer telephone inquiries from customers and internal staff regarding customer account transactions
  • Research accounts as requested to verify transactions and provide documentation
  • Distribute reports and notices from prior business day
  • Perform daily reconciliation of the Bank’s general ledger accounts and make corrections or adjustments
  • Prepare electronic files to post and code ACH returns and corrections to the Federal Reserve
  • Administer debit card disputes including intake, application of provisional credit and performing write offs
  • Process overdraft accounts, apply fees and send customer notifications
  • Process or return non-post items
  • Process chargebacks or redeposits
  • Close overdrawn accounts and notify consumer reporting agency of bad accounts and report to collection agency
  • Balance the Bank’s official checks, debit cards, credit cards, ATMs, and Zelle
  • Balance Canadian checks
  • Reconcile teller/vault cash from prior day
  • Compile statements, check copies and deposit history documentation for subpoenas
  • Complete paperwork for levies, garnishments, and verifications
  • Assist with processing check and account adjustments
  • Assist with reviewing and auditing dormant and escheat accounts
  • Refer escalated customer issues to management as necessary

Benefits

  • Paid Vacation, Sick Leave and Holidays
  • Health Insurance
  • Dental Insurance
  • Vision Insurance
  • 401k with matching contributions
  • Volunteer Paid Time Off
  • Banking Benefits
  • And More!
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