BayFirst National Bank is a full-service community bank dedicated to providing a wide range of high-quality banking services delivered in a personalized, friendly manner. Founded in 1999 and headquartered in St. Petersburg, Florida, we are a true community bank with the goal of becoming a one-stop shop and trusted financial resource for the communities that we serve.
Understanding that our employees are our most valuable resource, we are committed to providing career development opportunities, competitive compensation, and generous benefits to our entire workforce. As an organization, we encourage open communication in an environment of mutual respect, where hard work is rewarded, and a professional but informal atmosphere is valued within the workplace.
About the Role:
The Deposit Operations Specialist plays a critical role in ensuring the accuracy, compliance, and efficiency of deposit processing within a financial institution. This position is responsible for managing daily deposit transactions, reconciling balances, and handling exceptions to maintain the integrity of customer accounts. The specialist ensures all activities comply with regulatory requirements, while performing work in accordance with established policies, procedures and Service Level Agreements (SLA) with complimentary departments. Provides guidance to other team members to ensure daily deadlines and service levels are met.
The Deposit Operations Specialist utilizes regulatory compliance knowledge daily to ensure all deposit activities meet legal standards, minimizing institutional risk. Balance reconciliation skills are essential for verifying transaction accuracy and resolving discrepancies promptly. Exception handling expertise allows the specialist to identify and correct errors efficiently, maintaining operational integrity. Proficiency with banking systems supports accurate data entry and reporting, facilitating smooth transaction processing. Multitasking abilities enable the specialist to manage multiple responsibilities simultaneously, ensuring timely completion of tasks and effective collaboration with team members.
Duties and Responsibilities include but are not limited to:
Provides exceptional customer service for all deposit services
Identifies, investigates, and resolves exceptions and errors in deposit processing.
Performs balance reconciliations to ensure account accuracy and resolve discrepancies. Exception processing items including but not limited to:
Un-posted transactions
Stop Payments
Insufficient funds transactions
Return deposited items
Balancing of suspense accounts
ACH monitoring
Processes Overdraft Privilege tasks including but not limited to:
Processing daily file
Verify and manage customer communications
Process revoked limits
Process charge-offs
Reviews and verifies daily reports including but not limited to:
Dormant/Inactive
Debit Card Fraud
Charge off
ACH returns
GL Recons
FED Statements
1099 INT
ICS
Prepares Monthly Reporting including but not limited to:
Statistics
Interest on trust accounts (IOTA)
Backup Withholding
Provides branch support regarding deposit services including online banking, bill payment and ATM/Debit Card services.
Supports Internet Banking services including, but not limited to new customer setup, ACH origination files, wire transfer files, stop payment requests, item correction requests, statement reprint requests, online interface reject items.
Corresponds to e-mail inquiries, comments and concerns
Assists customers with all deposit service activities
Performs critical backup tasks for Deposit Services and Operations Manager
Establishes and maintains an effective working relationship with coworkers
Provides exceptional customer service
Maintains composure while handling a variety of duties, deadlines and customer needs
Requirements include but are not limited to:
All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, disability, or status as a protected veteran.