Old Dominion National Bank · 1 day ago
Treasury & Cash Management Specialist
Old Dominion National Bank is seeking a Treasury & Cash Management Specialist to manage their treasury management operations. The role involves servicing treasury management and electronic business banking products, ensuring data integrity, and providing excellent service to bank staff and clients.
BankingCommercialFinanceFinancial Services
Responsibilities
Performs all daily routines related to the servicing of the bank's treasury management and business electronic customer bases. This includes, but is not limited to, entering new cash management relationships, ICS, ACH, Wire, account analysis, Positive Pay, ACH filters and Remote Deposit Capture, bill payments and other electronic services to the core processing and ancillary systems, maintaining these products and services, and making account adjustments as necessary to ensure the utmost of data integrity within the bank's records
Qualification
Required
Ability to work collaboratively with everyone in the bank regardless of title
Ability to effectively present information to top management, public groups, and/or boards of directors
Understanding of loan, deposit, electronic payment, and treasury management operational systems and procedures; federal regulations and directives
Treasury and Cash Management experience
Proficient in treasury management best practices, and terminology, as well as common technology and payment verbiage
Excellent communication skills (email, phone, etc)
Minimum 3 years of customer service experience
Minimum 2 years of Banking experience
Company
Old Dominion National Bank
Old Dominion National Bank is a bank that offers commercial and consumer loans treasury and cash management services. It is a sub-organization of Centre 1st Bank.
Funding
Current Stage
Growth StageTotal Funding
$82.4M2019-11-27Series Unknown· $22.4M
2018-05-17Series Unknown· $30M
2017-02-07Series Unknown· $30M
Leadership Team
Recent News
2025-05-30
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