I have worked at a bank for the last 5 years and have handled the following tasks: > Investment accounts management - Opening, Pretermination and Closing of accounts - Deposits, transfers and withdrawal of funds - Customer service > Check clearing operations - Daily encoding of hundreds of check deposit account numbers and amounts on Excel. - Sorting hundreds of checks and deposit slips > Corporate Disbursements - Petty cash replenishment - Bank officers' reimbursements > ATM reconciliation - ATM balancing and reconciliation - Erroneous Debit complaints processing