in the selling and cross-selling of Bank products and services. Identifies and achieves individual weekly sales/referral... for the completion and lifecycle of all new and existing relationships according to consumer bank standards. Performs...
with established policies and procedures. Knowledgeable of bank services to cross sell or refer products/services as customer needs... and provide client solutions through bank products and services. · Handles cash accurately to maintain an acceptable cash...
and expeditiously. Compliance: Understand and comply with the Bank's BSA/AML Program, which includes, but is not limited to the... following: Complying with the Bank's Customer Identification Program and Customer Due Diligence Policy Identifying...
relationships for assigned regions in conjunction with the Relationship Manager. Prepares and presents shared national credit (SNC..., religion, sex, national origin, disability, veteran status or any other category protected by law. It is also the policy of FNB...
for employment because of age, race, color, religion, sex, national origin, disability, veteran status or any other category...
for employment because of age, race, color, religion, sex, national origin, disability, veteran status or any other category...
, color, religion, sex, national origin, disability, veteran status or any other category protected by law. It is also the...
sources, conducting prospect blitzes, enhancing the visibility of the Bank in the community and working with business partners... to solicit new business in conjunction with the Bank’s strategic and financial objectives. Primary Responsibilities: Develops...
bank products and services to support their financial success Follow established policies in accordance with the bank... and pay out funds in accordance with bank procedures, to record all transactions accurately and balance each day's operations...
bank products and services to support their financial success Follow established policies in accordance with the bank... and pay out funds in accordance with bank procedures, to record all transactions accurately and balance each day's operations...