Detail-oriented Financial Analyst with 5 years of experience in the Retail Banking Industry ready to transition to Financial Analysis. Ready to contribute to team success through hard work, attention to detail and excellent organizational skills. Enthusiastic in securing an entry level finance position that offers professional growth and advancement within diversified areas of industry.
Work History
Relationship Banker
Mascoma Bank
White River Junction, VT
05.2020 - 06.2021
Processed over 100 customer requests for financial services per day, including reissuing statements, ordering additional checks and updating customer personal information in database
Presented new and additional products and services to existing customers
Informed customers of procedures for applying for services such as ATM cards, direct deposit of checks and certificates of deposit
Interviewed up to 20 customers weekly to obtain information needed for opening accounts or renting safe-deposit boxes
Answered customer questions and explained available services such as deposit accounts, bonds and securities
Keyed customer details, including contact information and payment data into system, carefully observing all corporate procedures related to confidentiality with 0.01% error rate.
Operations Senior Supervisor
Crusader Sterling Pensions Ltd
Lagos
11.2013 - 12.2014
Improved process of posting inflows to customers' savings account that significantly reduce errors and saved time
Achieved customers' accounts were 0% error-free ensured correct payment for benefits processing
Supervised correct postings of monthly remittance to customers RSA
Advised and assisted retired clients on investment options and retained 70% client’s retirement funds
Monitored multiple databases to keep track of inflow to minimize errors thereby reducing risk for company
Monitored workshop workflow for over 20 employees.
Assistant Banking Officer
Oceanic Bank International Plc
09.2007 - 09.2010
Responsible for managing and effecting funds transfer for Bank's customers
Processed and clearing over 100 checks, Inter-Branch Transactions and Issuance of Official Checks daily
Carrying out reconciliation of general ledger accounts
Trained employees on cash drawer operation
Researched and resolved customer issues on personal savings, checking and lines of credit accounts
Maintained confidentiality of bank records and client information
Opened new customer accounts, including checking, savings, and lines of credit.
Audit Trainee
Kunle Egbeleke & Co
05.2007 - 08.2007
Responsible for firm's cash record keeping
Prepared monthly accounts and due diligence reports
Carried out account and business audit for clients
Investigated and resolved discrepancies in monthly bank accounts while under tight deadlines
Reviewed accountants book entries to ensure accuracy of ledger accounts
Received, recorded, and banked cash, checks, and vouchers as well as reconciled records of bank transactions
Reconciled bank statements to clients' books and prepared financial statements from client documents.