Main responsibilities:
Perform daily bank reconciliations and maintain up-to-date records.
Support daily deposits processing and transfers between accounts.
Monitor assigned agencies (pending amounts, inactive accounts, etc.).
Handle calls and provide solutions to agency requests.
Maintain excellent customer service at all times.
Schedule: Monday–Friday 8:00 a.m.–5:30 p.m. | Saturday 8:00 a.m.–1:00 p.m.
Hybrid mode: 3 days at the office / 3 from home
English required
Must be available to work on holidays