Summary: Provide customers with superior service while performing transactions and maximizing cross-sell opportunities. Position Responsibilities: . Deliver outstanding customer service by executing financial transactions in accordance with bank poli
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Process for voucher ledger posting of client-paid fees (e.g. mortgage application fee, rate lock fee and rate modification fee, etc.) * Handle inter-company voucher posting between expense codes for fees associates with mortgage expense * Maintain in
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Responsibilities * Responsible for the CFD internal funding and associated assets. You will work closely with representatives of the firm's Treasury units and other product lines to understand, price and hedge the material funding flows of the firm.
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TPG) manages assets across many asset classes for HNW and UHNW clients of the Citi Private Bank and of Morgan Stanley Smith Barney, with approximately $14...
Remedial activities related to secured and partially secured accounts in the $0-$250M range. The activities include, but are not limited to, forbearance..
Develops and implements workout strategies for CBNA - Commercial Banking and Commercial Real Estate Finance customers with exposures that are typically in..
Provide regular and ad hoc reports and analysis on credit quality (origination, portfolio and collection/recovery performance) using base SAS(r)on OS 390..
Position Summary:
Proactively source, acquire and expand customer relationships by maximizing sales opportunities and ensuring customer retention by creating a..