Teller - Bilingual

SESLOC Credit UnionSanta Maria, CA
Onsite

About The Position

Working at SESLOC, a not-for-profit organization, means you're educating, empowering and enriching the lives of our members and supporting our local community. Whether lending to your neighbor next door, promoting an informative seminar, or volunteering for a SESLOC-sponsored fundraiser, you'll feel proud about the work you're doing. We're the largest locally headquartered financial institution on the Central Coast and we pride ourselves on providing valued financial and educational services with integrity, respect and compassion-for more than 80 years! In this position you will perform assigned teller tasks associated with the processing of member transactions, such as receiving and disbursing funds, posting deposits, loan payments and withdrawals. You will maintain records of various transactions and balance a cash drawer daily. You will need a high level of accuracy, attention to detail, and good customer service. We are looking for someone who enjoys working with people, has cash handling experience, good communication, teamwork skills and sales. A working knowledge of teller operations and credit union services is preferred. Bilingual (English/Spanish) preferred. EOE All job offers extended to final candidates at SESLOC Credit union are conditional pending the successful completion and acceptable results of background checks and signing an Arbitration Agreement as a condition of employment. Background checks include a bond check, a credit check, a criminal history check, reference checks. Signing an Arbitration Agreement is a condition of employment.

Requirements

  • High level of accuracy
  • Attention to detail
  • Good customer service
  • Enjoys working with people
  • Cash handling experience
  • Good communication skills
  • Teamwork skills
  • Sales skills

Nice To Haves

  • Working knowledge of teller operations
  • Working knowledge of credit union services
  • Bilingual (English/Spanish)

Responsibilities

  • Perform assigned teller tasks associated with the processing of member transactions, such as receiving and disbursing funds, posting deposits, loan payments and withdrawals.
  • Maintain records of various transactions.
  • Balance a cash drawer daily.
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