Company | United Bank & TrustSee more |
Address | Marysville, KS |
Form of work | Full-time |
Salary | $27.1K - $34.3K a year |
Category | Information Technology |
Job description
- Daily reconcile and process the following – Non post, NSF’s, ACH invalid accounts, stop payments, adjustments, branch cash and ATM’s, Application Balancing and official checks.
- Perform duties on Abil including the following – Input and verify wires, input ACH returns and NOC’s.
- Print, reconcile and mail official checks and notices.
- Sort and distribute daily reports.
- Setup, change passwords and assist customers on the Internet, mobile and phone banking.
- Verify Savings Bond interest paid input on the customer’s portfolio.
- Work up charge backs and mail notices.
- File accounts payable invoices.
- Answer customer and branch inquiries.
- As needed remit collection items (domestic and foreign), order foreign currency, process garnishments, check death notifications, SSA & SSI Reports and tax levies.
- Do weekly CTR/BSA and monthly OFAC paperwork.
- Load gift cards.
- Any other jobs assigned by the supervisor.
- This position is located in Marysville, Kanas
Refer code: 8387457. United Bank & Trust - The previous day - 2024-02-26 14:37