Committed job seeker with a history of meeting company needs with consistent and organized practices. Skilled in working under pressure and adapting to new situations and challenges to best enhance the organizational brand.
Overview
3
3
years of professional experience
Work History
Universal Banker
Ameris Bank
11.2023 - Current
Assisted customers with setting up or closing accounts, completing loan applications, and signing up for new services.
Managed escalated phone calls by applying conflict resolutions skills and extensive knowledge of bank policies, products, and services.
Opened checking, savings, money market and certificates of deposit accounts and ordered checks, debit cards and furnished online banking details to facilitate new transactions.
Cashed checks, accepted deposits and withdrawals within assigned limits and calculated daily transactions using computers, calculators or adding machines.
Strengthened customer relationships with proactive communication and timely resolution of queries or concerns.
Educated customers on various banking products and services, empowering them to make informed financial decisions aligned with their personal goals.
Assistant Teacher
Primrose Schools
03.2023 - 11.2023
Maintained safe, educational environment for students during learning and free play time.
Interacted positively with children to encourage development and involvement in activities, treating each child with dignity and respect.
Assisted teacher with enrichment activities, correcting papers or supervising classroom to foster positive learning environment
Communicated regularly with parents, teachers and administrators regarding student progress and needs.
Teller
Georgia United Credit Union
08.2021 - 01.2022
Maintained confidentiality of bank records and client information.
Built and maintained client relationships through quality, personalized interactions.
Performed transactional, operational, and customer support tasks through knowledge of bank procedures and products.
Entered customer transactions into computers to record transactions and issue computer-generated receipts.
Counted drawers and reconciled remaining cash to accost for deposits and dispersals.