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Data Entry Service

Location:
Mount Vernon, NY
Posted:
April 13, 2015

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Resume:

Jill L. Davis

*** ***** ****** ******

Mount Vernon, New York 10550

Phone 646-***-****

SUMMARY

Fifteen years back-end office processing experience in banking. Excellent skills in task

management, problem solving and research capabilities. A proven track record of exceeding

departmental standards.

DOUBLETREE HILTON HOTEL –Tarrytown, NY – July 2014 – October 2014

Front Desk Agent

Responsible for checking in guest, confirm reservation details

including

Room type and departure date

Made reservation for guest, walk in or over the phone

Heavy phone volumes

Prepare Key Packets

Answer all guest questions and offer assistance with any need or

concerns.

REMEX SPECIALITY SERVICE – Woodland Hills, CA – December 2013 – April

2014

Assignment: Union Bank

File Clerk

Responsible for sorting and organizing various documents accounts by

account number and date

Completed document separator sheets so that documents can be shipped

to

electronic file group, scanned and catalogued correctly

THE PREMIER GROUP – Rutherford, NJ –

Assignment: Jack Henry and Associates

Data Entry Clerk December 2012 – April 2013

Managed 12 accounts – Responsible for the day to day execution of the

accounts

Balancing end of day work flow

Generate reports via banking system Vertex

Data Entry Clerk November 2010– December 2012

Data Entry Encoding

Organized Filing System

AFFILIATED COMPUTER SERVICE – Hamilton, NJ – December 2009 - May 2010

Data Entry Clerk

Data Entry Clerk – Alpha/Numeric Keyboard

Processed Child Support Payments

BANK OF NEW YORK INC, New York, NY

Senior Clerk-DTC Operations December 2007 – October 2008

Responsible for the day to day execution of account

Monitor DTC cash settlement, balance end of day settlement on all cash

accounts

Heavy phone volume with various financial institution and customer

inquiries.

Performed Data Entry

Senior Securities Processing Clerk September 1998- December 2007

Performed Data Entry.

Processed futures trade instructions from various clients

Processed receives and deliveries versus premium payment (PPO) for

options

through DTC and physically according to specific instructions

Processed Options on Future and Over the Counter trades from various

clients

Corporate Actions, Stock Splits, Reorg Adjustment.

Guaranty Letters, Collateral Issued for specific stocks

SKILLS:

Microsoft Word 2007

Automated Systems Processing (ASP)

Depository Trust Company (DTC)

Broker Dealer

Pershing

Excel

EDUCATION: 1977 – Mt. Vernon High School, Mt. Vernon, NY



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