Title: Junior Treasury Management Services Specialist / Treasury Management Analyst: I (Junior)
JobID #: 6610
Company: Established Banking Client
Pay Rate: $21/hour
Position Type: Part time Contract position (3 months with with possible extensions)
Working hours: Early morning between ~ 4.30am to ~9am
Location: Onsite role at Bank's Gateway center location in Columbus, OH
Description:
The Treasury Management Services Specialist I is responsible for comparing check images to paid check issue files to determine if there are discrepancies between the two. This process must be completed with accuracy and expected to meet/exceed established service level agreements by product/task.
Produce/mail check image compact disks on a recurring basis with accuracy and speed to meet established service levels.
Produce/mail customer statements on a recurring basis with accuracy and speed to meet established service levels.
Basic Qualifications:
- High school diploma
- 1 or more years of bank operations experience
- Data Entry and 10 Key Experience required
Preferred Qualifications:
- Ability to validate check images to check issue files with accuracy and speed
- Ability to work independently
- Attention to detail is a must
- Self-Motivated to ensure individual performance goals are met or exceeded
- Excellent written and verbal communication skills
- Strong organizational skills are essential
- Working knowledge of Word, Excel, Outlook, and One Note (preferred) Microsoft products
- 2 – 3 years customer service experience desired
Duties & Responsibilities:
- Accurately review check images to check issue files in an accurate and productive manner to appropriately decision checks for processing or routed to the customer for final review
- Maintain up to date knowledge on products, services, departmental systems and related technology, policies, and procedure for check scrubbing
- Follows department procedures to ensure risk controls are followed to prevent customer or bank impact
- This is a detail oriented, and attention to quality position, due to a large amount of specialized/complex data entry that is specific to individual workflows
- Examples of specialized/complex data entry include but are not limited to, multiple entries (alphanumeric), entering/correcting remitter names and multiple alphanumeric requirements for a single workflow.
Additional Hiring Manager notes
- 3 openings for this role
- Resources will report to VP of Treasury Management Operations Group
- This resource will be checking checks/scrubbing very early
- Needs attn to detail and accuracydue to detecting fraud
- Can avg 18k a day that they need scrubbed by 8am
- Average time per scrubbed item is 3 secs- need to be quick
- On site 5 days/week
- Banking experience is a plus but not required
- This scrubbing is included in offshore business
- M-F onsite at Gateway center location in Columbus
If you are interested in applying to this position, please share your earliest availability for a follow up call or reach me directly by phone at 408-###-####. Also, please send me your resume to support the discussions.
Thank you,
James Parakka
Technical Recruiter
Central Point Partners