Employment Opportunities


Resumes will be accepted until July 31, 2020.  Please contact Elois Prude, 205-292-3548, if you have questions.

Job Summary

Perform a wide range of transactional duties to service members by receiving or paying out funds with high accuracy. Maintain accurate transactional records. Provide a variety of member savings, share drafts/checking, and credit account transactions, as well as member services such as sales of money orders.

  • Greet and welcome members to the credit union in a courteous, professional, and timely manner.
  • Provide comprehensive, prompt, accurate, and efficient member transactions.
  • Receive share drafts/checks and cash for deposit to accounts, verify amounts, examine share drafts/checks for proper endorsement, and accurately enter deposits into computer records according to regulatory guidelines, and credit union policies and procedures.
  • Process withdrawals from accounts and/or share drafts/check cashing, verify amounts, and enter withdrawals into system accurately. Cash share drafts/checks from a variety of accounts upon proper verification according to regulatory guidelines and credit union policies and procedures.
  • Balance cash drawer at the end of the shift and compare totaled amount to computer-generated proof sheet per teller balancing procedures. Research and resolve discrepancies. Report any discrepancies to supervisor as necessary. May help other tellers research and resolve discrepancies.
  • Open new accounts and service existing accounts.  Set up and maintain accurate new account files, and provide members with all necessary information for membership.  Perform BSA/OFAC compliance procedures.
  • Promote credit union products and services based on member needs that are obtained from member interviews and/or review of member accounts.  Actively cross-sell products.