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Bank Check Processing Jobs in Missouri (NOW HIRING)

Personal Banker

Kansas City, MO · On-site

$18.50 - $22.75/hr

  • PTO

Understands check hold processes and procedures. * Must be customer-focused and able to convey ... Enthusiastically educates customers on emerging bank technology to include mobile banking and ...

Personal Banker

Kansas City, MO · On-site

$18.50 - $22.75/hr

  • PTO

Understands check hold processes and procedures. * Must be customer-focused and able to convey ... Enthusiastically educates customers on emerging bank technology to include mobile banking and ...

Relationship Banker II | Chesterfield

Chesterfield, MO · On-site

$18.25 - $24/hr

  • Medical

  • Dental

  • Vision

  • Life

  • Retirement

  • PTO

... processing check orders. * Support customers with online and mobile banking services, ensuring they ... are comfortable and knowledgeable about digital banking tools. Loan & Credit Processing * Process ...

New

Universal Banker

Poplar Bluff, MO

$16 - $20/hr

Conduct routine transactions (cash checks, accept deposits and loan payments, process withdrawals ... First Midwest Bank requires a background check prior to employment. Pay commensurate with ...

Relationship Banker - Town & Country

Ballwin, MO · On-site

$18 - $23.50/hr

Open and maintain accounts in accordance with bank standards and applicable requirements. * Process ... check. This position requires compliance with the S.A.F.E. Mortgage Licensing Act of 2008 and all ...

Universal Banker

Poplar Bluff, MO · On-site

$16 - $17.50/hr

Conduct routine transactions (cash checks, accept deposits and loan payments, process withdrawals ... First Midwest Bank requires a background check prior to employment. Pay commensurate with ...

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Bank Check Processing information

See Missouri salary details

$8

$17

$36

How much do bank check processing jobs pay per hour?

As of Aug 17, 2026, the average hourly pay for bank check processing in Missouri is $17.48, according to ZipRecruiter salary data. Most workers in this role earn between $12.14 and $18.00 per hour, depending on experience, location, and employer.

What is a bank check processing?

A Bank Check Processing job involves handling, verifying, and processing checks for a financial institution to ensure accurate and timely transactions. Responsibilities often include scanning checks, verifying account details, detecting fraud, and ensuring compliance with banking regulations. Employees in this role may use specialized software and equipment to process large volumes of checks efficiently. Attention to detail and knowledge of banking procedures are essential for success in this job.

What are the typical daily responsibilities of someone working in bank check processing?

In a Bank Check Processing role, your daily tasks usually include verifying and inputting check information, balancing transaction batches, and ensuring all checks are accurately processed according to set deadlines. You may also be responsible for identifying and resolving discrepancies or errors, collaborating with other banking departments, and maintaining secure handling of sensitive financial data. The work is often fast-paced and deadline-driven, requiring strong organizational skills and attention to detail. On some teams, you may rotate responsibilities or assist with related processing tasks, which helps keep the job dynamic and provides opportunities to learn additional banking operations.

What are the key skills and qualifications needed to thrive in the bank check processing position, and why are they important?

To thrive in Bank Check Processing, you need strong attention to detail, numerical accuracy, and familiarity with banking procedures, typically supported by a high school diploma or equivalent. Proficiency with bank processing software, MICR readers, image capture systems, and sometimes knowledge of ACH processing are important technical qualifications. Reliability, time management, and the ability to work efficiently both independently and in a team help individuals stand out. These skills are critical for ensuring accurate and timely processing of financial transactions, maintaining security, and supporting customer trust.

What are the most commonly searched types of Bank Check Processing jobs in Missouri?

The most popular types of Bank Check Processing jobs in Missouri are:

What are popular job titles related to Bank Check Processing jobs in Missouri?

For Bank Check Processing jobs in Missouri, the most frequently searched job titles are:

What cities in Missouri are hiring for Bank Check Processing jobs?

Cities in Missouri with the most Bank Check Processing job openings:

Infographic showing various Bank Check Processing job openings in Missouri as of August 2026, with employment types broken down into 100% Full Time. Highlights an 100% In-person job distribution, with an average salary of $36,356 per year, or $17.5 per hour.

Deposit Operations Specialist - Reconciliation

First Bank

Saint Louis, MO • On-site

$20 - $24/hr

Full-time

Posted 12 days ago


Job description

About this Role
Are you an experienced operations professional who thrives on solving complex problems and driving operational accuracy? As a Deposit Operations Specialist II within Reconciliation & CIT at First Bank, you will serve as a seasoned contributor responsible for the accuracy, integrity, and completeness of financial records through advanced reconciliation and adjustment activities. You will handle complex discrepancies, perform in-depth research and analysis, and take a proactive role in identifying trends, mitigating risk, and improving processes. You will also provide guidance to junior team members, partner with internal departments, and support regulatory compliance and continuous improvement initiatives.
In this Role You Will
Perform Complex Reconciliations: Perform daily and monthly reconciliations of bank accounts, payment platforms, and general ledger accounts with a high degree of accuracy. Complex reconciliations include high-risk, high-volume, or non-routine activities involving multiple systems or data sources, timing differences, aged or unresolved exceptions, significant dollar exposure, or items requiring advanced research, judgment, correction, or cross-functional coordination.
Resolve Escalated Discrepancies: Investigate and resolve escalated discrepancies, including aged reconciling items, systemic errors, and high-risk transactions.
Analyze Trends and Root Causes: Analyze large data sets to identify trends, root causes, and recurring issues impacting reconciliation accuracy.
Ensure Proper Transaction Classification: Ensure proper classification and accounting treatment of transactions across multiple systems.
Monitor Cash Operations: Monitor cash operations, including processing and validating branch and ATM cash orders, monitoring cash limits, and resolving fulfillment issues.
Manage CIT Operations: Manage armored carrier (CIT) operations by tracking pickups and deliveries, verifying transactions, and resolving service disruptions or recurring issues.
Resolve Complex Check Adjustments: Review, process, and resolve complex check-related adjustments, including returns, disputes, encoding errors, duplicate postings, and settlement discrepancies in compliance with regulatory requirements (Reg CC, UCC, Federal Reserve guidelines).
Maintain Job Aids: Keep job aids current and accurate to reflect updated processes and controls.
Process Mail: Process incoming and outgoing mail in support of reconciliation and adjustment activities.
Support Team Development: Provide guidance and support to junior team members and assist with onboarding and training efforts.
Drive Process Improvement: Contribute to process improvement initiatives, workflow optimization, and system enhancements.
Ensure Regulatory Compliance: Ensure adherence to regulatory requirements, internal controls, and bank policies in all reconciliation and adjustment activities.
Qualifications, Competencies and Skills
  • High school diploma or equivalent required; Bachelor's degree in Accounting, Finance, or related field preferred.
  • 2+ years of experience in reconciliation, banking operations, accounting, or financial adjustments.
  • Demonstrated experience handling complex reconciliations and escalated exception items.
  • Experience with automated reconciliation tools, banking platforms, and data analysis tools preferred.
  • Advanced knowledge of general ledger accounting, reconciliation processes, and cash management.
  • Strong expertise in check processing, exception handling, and adjustment workflows.
  • In-depth understanding of banking regulations (Reg CC, UCC, Federal Reserve rules).
  • Advanced analytical and problem-solving skills with the ability to identify root causes and trends.
  • Strong organizational and time management skills with the ability to manage competing priorities.
  • Excellent communication and interpersonal skills, including the ability to influence and guide others.
  • Proficiency in banking systems, reconciliation platforms, and Excel (including formulas, pivot tables, and data analysis).
  • Ability to work independently while contributing to team leadership and oversight.

A reasonable estimate of the current pay range is $20.00 - $24.00 per hour.