Treasury Management Assistant II

Greenstate Credit Union

North Liberty (IA)

On-site

USD 40,000 - 47,000

Full time

14 days+
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Benefits offered by this job

Progressive benefits package

Job summary

GreenState Credit Union in North Liberty, IA is seeking a Treasury Management Assistant II to provide service support to the Commercial Deposit and Treasury Management department. The role serves as the primary contact for Treasury Management and Commercial Deposit services, assisting business members and internal teams with account setups, changes, and troubleshooting.

In-office daily at Clive, IA Branch or the North Liberty Financial Center, with a pay range of $29.17–$34.11 per hour.

Qualifications

  • High school diploma or equivalent (GED).
  • 1–3 years in a similar or related experience preferred.
  • Must be bondable.
  • A thorough understanding of the financial institution’s policies and procedures is required.

Responsibilities

  • Serves as Treasury Management and Commercial Deposit contact for business members and Credit Union employees for routine Treasury Management questions, set ups and changes.
  • Opens new business deposit accounts/makes changes to existing deposit accounts upon receipt of proper documentation and due diligence from the business member.
  • Works collaboratively with Compliance, BSA, Fraud, Accounting, and deposit operations to adhere to all credit union policies and procedures and regulatory requirements for depository accounts and treasury management services.
  • Provides ongoing support to business members to maintain goodwill and gain additional business.
  • Sets up and trains members and maintains existing Remote Deposit Capture functionality for borrowers.

Education

High school diploma or equivalent (GED)

Job description

GreenState Credit Union
Treasury Management Assistant II

US-IA-North Liberty

Job ID: 2026-4761

# of Openings: 1

Category: Premier Banking

Overview

The Treasury Management Assistant II position provides service support to the Commercial Deposit and Treasury Management department. They serve as the primary contact for Treasury Management and Commercial Deposit services, assisting business members and internal teams with account setups, changes, and troubleshooting. Ensures compliance with regulatory requirements, processes agreements, and supports ongoing business banking needs. Collaborates with various departments to maintain account integrity, provides training on remote deposit services, and manages treasury management documentation and system updates.

GREENSTATE CULTURE:

At GreenState,ourpurpose is to create lasting value for our members, our communities, and one another. We empower our teams to create opportunities that strengthen financial well-being, transform lives, and enhance the vitality of the communities we serve. We know our success—now andin the future—isdeeplyrooted in fostering an engaging, diverse, and inclusive workplace where everyone knows they matter, their work makes an impact, and their everyday commitment tolivingour values is what brings our mission to life.

This role reports in-office daily at one of the following locations: Clive, IA Branch or Financial Center in North Liberty, IA.

Pay range for this hourly position is $29.17 - $34.11/hr.

  • progressive benefits package.
Responsibilities
  1. Adheres to the Credit Union's core values and Service Standards in conducting GreenState's mission and vision.
  2. Demonstrates a positive member service (internal and external) focus at all times.
  3. Demonstrates teamwork in all interactions with coworkers and in the completion of all duties and responsibilities.
  4. Ensures confidentiality of member information.
  5. Supports a diverse and inclusive work environment.
  6. Serves as a Treasury Management and Commercial Deposit contact for business members and Credit Union employees for routine Treasury Management questions, set ups and changes.
  7. Troubleshoots all deposit account issues and works with co-workers and business members concerning these issues.
  8. Assists in the completion of agreements, set up forms, procedures, and treasury management implementation forms for new business members.
  9. Opens new business deposit accounts/makes changes to existing deposit accounts upon receipt of proper documentation and due diligence from the business member.
  10. Works collaboratively with Compliance, BSA, Fraud, Accounting, and deposit operations to adhere to all credit union policies and procedures and regulatory requirements for depository accounts and treasury management services.
  11. Provides ongoing support to business members to maintain goodwill and gain additional business.
  12. Collaborates with the Commercial staff to provide support to business members.
  13. Creates, updates, and maintains documents for compliance purposes.
  14. Prepares all member documents associated with new services and sends out for signature.
  15. Sets up new members on our core system and research service-related issues.
  16. Answers all Treasury Management service phone calls and responds to all Treasury Management email correspondence.
  17. Verifies and submits wires through WireXchange.
  18. Assists in the compilation of information for treasury management and business deposit RFPs.
  19. Works directly with Commercial Servicing for any account related maintenance.
  20. Sets up and trains members and maintains existing Remote Deposit Capture functionality for borrowers.
  21. Adjusts Symitar fees, analysis codes, and system warnings.
  22. Uploads information and trains on ProfitStars ID, RDC limits and administrator functions.
  23. Works directly with Commercial servicing for online banking user setups.
  24. Uploads and maintains accurate document fillings in Synergy.
Qualifications
  1. High school diploma or equivalent ("GED").
  2. One to three years in a similar or related experience preferred.
  3. Must be bondable.
  4. A thorough understanding of the financial institution’s policies and procedures is required.
  5. Ability to read, analyze, and interpret general business periodicals, professional journals, technical procedures, or governmental regulations.
  6. Reports to work punctually, works all scheduled hours, and works overtime as necessitated by business demand.
  7. Ability to coordinate and prioritize assignments and organize work efficiently for timely completion. Strong time management skills required to manage multiple assignments on time.
  8. Ability to write reports, business correspondence, and procedure manuals.
  9. Performs other duties as assigned.

This position reports to the Director Treasury Management.

Supervisory Responsibilities

This position is not responsible for the supervision of others.

Equal Opportunity Employment Statement

GreenState Credit Union is an EEO/AA Employer. We strongly encourage all individuals to apply for openings with the credit union.

Equal employment opportunity, including veterans and individuals with disabilities.

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