
This full-time Deposit Operations Reconciliation and Processing Specialist role is based in Cincinnati, Ohio, supporting the bank's check adjustments, returns, and exception processes. The position involves posting financial entries to clear daily system rejects, researching and resolving outstanding items on suspense and exception accounts, and balancing multiple general ledger accounts to ensure accurate processing. Key duties also include executing daily production jobs, managing safe deposit box processes, and updating interest rates for deposit products. The role appeals to candidates seeking a stable position within an inclusive culture that values risk management and customer service. The schedule runs Monday through Friday from 7:30 am to 4 pm in a standard office environment.








