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 Job Details 
  
   
    
     
      
       
        | Job Location |  
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          Dallas Uptown Branch - Dallas, TX  | 
        
       
        | Position Type |  
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          Full Time  | 
        
      
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Description 
Responsible for performing a variety of services for our customers in a timely and professional manner. Also responsible for the preparation of new loans and the maintenance of existing loans. Essential Duties  
    
      
     - Greeting customers
 - Represent the bank to the customer in a courteous and professional manner.
 - Furnish prompt, efficient, and accurate service
 - Attention to detail and excellent communication skills are required
 - Maintain work area in a clean, neat, and professional appearance
 - Accept credit applications 
 
      
        
       - Obtain CIP documentation for individuals, run credit reports and enter Customer Due Diligence information into Verafin
 - Obtain borrowing authorization documents for entities, run BizChex and enter Beneficial Owner information in Verafin and obtain Certificates of Good Standing
 
        
       
  - Create new customer CIF's on Silverlake and complete BSA - Verafin questions
 - Coordinate the preparation of loan closing documents with internal and external individuals for Consumer, Real Estate, Commercial and Agricultural loans including Letters of Credit, Floor Plans and Guidance Lines. 
 - Coordinate document ordering 
 
      
        
       - Open title insurance orders with title companies 
 - Request appraisal, environmental and evaluation orders through Real Estate Valuation Dept. 
 
        
       
  - Coordinates with SBA and other government guaranteed loan programs on gathering the proper documentation on government guaranteed loans
 - Scheduling, closing and funding of loans;
 - Prepare or assist in the preparation of the Loan Input Worksheet which is used to prepare the Commercial/Ag Loan Memo, provides information for Loan Doc Prep to prepare loan documents, and provides checklists (borrowing entity and collateral documentation) for Doc Review ticklers
 - Input information into Decision Pro software for consumer loans
 - Input Information into Encompass software for consumer real estate loans
 - Review loan documents for accuracy prior to loan closings
 - Prepare Loan Funding Worksheet to provide loan disbursement instructions to the centralized Loan Funding Department once loans are closed; provide drafting instructions as needed
 - Scan loan package documents and name using naming template. Save completed loan package to Doc Review for tracking
 - Scan documents received by mail. Name with naming template and save to exception folder to remove exception or Synergy Folder for upload to Synergy.
 - Manages each loan to identify, file, and perfect the Bank's lien on any and all loans, including but not limited to: UCC's, Deed of Trust, Assignments, Subordinations, etc.
 - Review documentation exception reports and communicate with borrowers by letter, email or phone requesting on-going financial and collateral documentation. 
 - Complete the Exception Removal Request spreadsheet and forward to the Exception Tracking group to update tracked documents as received 
 - Complete loan advances and transfers, either by paper ticket, or online; update construction draw spreadsheets as applicable; prepare extensions and modifications for loan payments; 
 - Central Notification Systems - Notifying Gins and Co-ops that City Bank has a lien on Crops and/or Livestock
 - Process/review loan payments; Portal Pay, DMI, Private Banking and all loans housed on Silverlake; 
 - Issues cashier's checks
 - Encoding internal loan coupons, deposit & withdrawal slips
 - Prepare spreadsheet to track floor plan customers and guidance line activity
 - Scheduling construction, equipment, floor plan and crop inspections
 - Utilizing Lien Solutions, order UCC searches and flood determinations; file new and terminated UCC's, review borrower monitoring alerts
 - Filing to include collateral safekeeping, bulk filing (some branches), etc.
 - Customer Services requests:
 
      
        
       - Prepare AFT and ACH set up forms
 - Enters changes in Synapsys for address changes and officer changes; 
 - Process wire transfers
 - Provide NADA book value quotes on vehicles, 
 - Prepare payoff quotes, 
 - Provide loan history information, 
 - Compile release of lien documents and etc. 
 
        
       
  - Scheduling appointments for loan officers
 - Receiving and directing phone calls
 - Call on past due and NSF customers
 - Participate in training sessions as required by supervisor.
 - Other duties, as assigned by Management; some branch Lending Assistants perform additional duties:
 
      
        
       - Open deposit accounts
 - Perform teller functions
 - Create debit cards and re-pin as needed
 - Accept stop payments
 - Q2 Online Banking resets
 
        
       
  
      
     
 Equal Opportunity Employer/Veterans/Disabled  
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