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Temporary Bank Check Processing Jobs in Gilmer, TX

Temporary Crane Operator For Outage Operating crane under complete control Operating crane under ... the job billing process Travelling the crane to and from job sites Wearing required personal ...

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... their best. temporary crane operator for outage work * OPERATING CRANE UNDER COMPLETE CONTROL ... UNDERSTANDING AND EXECUTING THE JOB BILLING PROCESS * TRAVELLING THE CRANE TO AND FROM JOB SITES.

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Temporary Crane Operator For Outage Joyce Steel Erection, Ltd. is part of the global industrial ... Understanding and executing the job billing process * Travelling the crane to and from job sites

New

... their best. temporary crane operator for outage * OPERATING CRANE UNDER COMPLETE CONTROL ... UNDERSTANDING AND EXECUTING THE JOB BILLING PROCESS * TRAVELLING THE CRANE TO AND FROM JOB SITES.

New

... their best. temporary crane operator for outage * OPERATING CRANE UNDER COMPLETE CONTROL ... UNDERSTANDING AND EXECUTING THE JOB BILLING PROCESS * TRAVELLING THE CRANE TO AND FROM JOB SITES.

New

... their best. temporary crane operator for outage * OPERATING CRANE UNDER COMPLETE CONTROL ... UNDERSTANDING AND EXECUTING THE JOB BILLING PROCESS * TRAVELLING THE CRANE TO AND FROM JOB SITES.

New

Temporary Crane Operator For Outage Joyce Steel Erection, Ltd. is part of the global industrial ... Understanding and executing the job billing process * Travelling the crane to and from job sites

New

... their best. temporary crane operator for outage * OPERATING CRANE UNDER COMPLETE CONTROL ... UNDERSTANDING AND EXECUTING THE JOB BILLING PROCESS * TRAVELLING THE CRANE TO AND FROM JOB SITES.

New

... their best. temporary crane operator for outage * OPERATING CRANE UNDER COMPLETE CONTROL ... UNDERSTANDING AND EXECUTING THE JOB BILLING PROCESS * TRAVELLING THE CRANE TO AND FROM JOB SITES.

New

Temporary Crane Operator For Outage Work Joyce Steel Erection, Ltd. is a part of the global ... Understanding and executing the job billing process * Travelling the crane to and from job sites

New

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Temporary Bank Check Processing information

What is temporary bank check processing?

Temporary bank check processing refers to short-term or contract roles where employees handle the sorting, scanning, and verification of checks at banks or financial institutions. These positions are often hired to manage increased workloads, such as during tax season or special projects. Workers in these roles ensure checks are accurately processed and recorded in the bank’s system, following strict security and confidentiality protocols. Temporary check processors may also help resolve discrepancies and support the bank’s daily operations. This job typically requires attention to detail, reliability, and sometimes prior experience with banking or data entry.

What are the key skills and qualifications needed to thrive as a temporary bank check processor?

To thrive as a Temporary Bank Check Processor, you need attention to detail, basic math skills, and familiarity with banking procedures, often supported by a high school diploma or equivalent. Proficiency with check processing software, document imaging systems, and data entry platforms is typically required. Dependability, efficiency, and the ability to work accurately under time constraints are valuable soft skills in this role. These competencies ensure accurate transaction processing, minimize errors, and help maintain smooth banking operations.

What are some common challenges faced in a temporary bank check processing role and how can they be effectively managed?

In a temporary bank check processing position, one common challenge is managing high volumes of checks efficiently while maintaining accuracy under tight deadlines. It’s essential to stay organized and attentive to detail to minimize errors, as mistakes can impact customer accounts. Additionally, you may need to quickly learn bank-specific software and adapt to changing procedures or shift schedules. Building strong communication with team members and supervisors can help address questions promptly and ensure a smooth workflow. Proactively seeking feedback and clarifying expectations will also aid in a successful temporary assignment.

What is the difference between Temporary Bank Check Processing vs Bank Teller?

AspectTemporary Bank Check ProcessingBank Teller
Primary ResponsibilitiesProcessing, verifying, and reconciling bank checks and transactionsAssisting customers with deposits, withdrawals, and account inquiries
Required SkillsAttention to detail, basic banking knowledge, data entryCustomer service, cash handling, communication skills
Work EnvironmentBank back-office, data processing centersBank branch, customer-facing
CertificationsNone typically required, basic banking knowledge helpfulNone required, customer service experience preferred

Temporary Bank Check Processing roles focus on back-office check handling and verification, while Bank Tellers interact directly with customers. Both roles require banking knowledge but differ in daily tasks and work environment.

What job categories do people searching Temporary Bank Check Processing jobs in Gilmer, TX look for?

The top searched job categories for Temporary Bank Check Processing jobs in Gilmer, TX are:

What cities near Gilmer, TX are hiring for Temporary Bank Check Processing jobs?

Cities near Gilmer, TX with the most Temporary Bank Check Processing job openings:

Infographic showing various Temporary Bank Check Processing job openings in Gilmer, TX as of August 2026, with employment types broken down into 1% As Needed, 67% Full Time, 29% Part Time, 2% Contract, and 1% Nights. Highlights an 97% Physical, 1% Hybrid, and 2% Remote job distribution.

Floater- Universal Banker for Rural Region

Austin Bank

Kilgore, TX • On-site

$14.75 - $18.50/hr

Full-time

Re-posted 3 days ago


Job description

Provides financial solutions and quality service to existing and potential customers in an effort to meet their needs. Under general supervision, demonstrates the ability to analyze, identify, establish, manage, and retain relationships. Must demonstrate a customer service orientation with effective problem solving skills and the ability to convey a positive attitude while interacting with customers, both external and internal. Works as a part of a location team in attaining bank goals and striving to improve the profitability of the bank.

Includes the following: Other duties may be assigned:

 Products/Sales:

  • Explains products/services available and assists in the selection of the most appropriate product/services for the customer.
  • Calls on potential or existing customers to develop new business or retain existing business.
  • Interviews customer to adequately perform assessment of financial needs. Corresponds with or interviews applicant or creditors to resolve questions regarding application information.
  • Cross-sells the Banks’ products/services.

 Service:

  • Exhibits superior customer service as an Austin Bank team member. Demonstrates high quality relationship building techniques to ensure the customer receives the best possible solution to their banking and financial needs. Helps promote a loyal relationship between the customer and Austin bank.
  • Provides prompt, efficient, and friendly service to customers and potentials customers.
  • Open deposit personal and business accounts, process teller transactions, take loan applications, respond to customer inquiries, resolve issues, recognize and refer cross-sell opportunities as appropriate.
  • Performs all transactions according to specified guidance and prepares all required documentation.
  • Answers telephone calls taking messages, forwarding calls or providing assistance to customers as needed.
  • Verifies next day new account information and account file maintenance.
  • Cross-trains in other areas in order to provide assistance. Provides back up as needed to insure quality customer service.
  • Assists customers in preparing documentation on debit card and ACH disputes
  • Performs duties regarding safe deposit boxes; i.e. opens/closes boxes, assists in box entry, maintains and audits safe deposit box records, schedules drilling of boxes, etc.

 Operations:

  • Participates in developing a teamwork atmosphere with co-workers as part of branch location by attending meetings, participating in discussions, treating co-workers with respect and courtesy, and contributing to departmental goals.
  • Has a clear understanding of banking regulations pertaining to deposit and loan products.
  • Ensures all documentation on new loan and/or deposit accounts is complete and accurate according to policy.
  • Obtains information for outgoing wire transfers and processes in accordance to Wire Transfer procedures.
  • Maintains an organized, clutter-free and adequately supplied work area.
  • Maintains compliance with Bank policies, procedures, goals and objectives. Adheres to procedures for customer confidentiality.
  • Places holds on checks accepted for deposits, if warranted, in accordance with regulations.
  • Maintains teller cash drawer within required limits.
  • Accepts Loan Payments
  • Completes Currency Transaction and Official Check transaction reports

Employee is responsible to understand and comply with regulatory requirements for financial transactions, most specifically Bank Secrecy Act (BSA) and Customer Identification Program (CIP) as it relates to specific job functions.

Has a responsibility to stay abreast of company communications by reading publications, announcements and company e-mails, etc. Takes advantage of appropriate communication channels regarding bank related business matters.   

Develop personal skills and capabilities through on-going training, as provided by the company or elsewhere subject to Company approval. 

Uphold and safeguard the organizations values particularly relating to ethics, integrity, and confidentiality both internally and externally.

Enhances professional growth and development through participation in education programs, current literature, and in-service meetings, etc.

Travels as required to assigned offices.

Reports to work regularly and promptly.

Maintains and adheres to a schedule of work assignments.

Maintains and submits records to supervisor showing time worked and expenses incurred for travel.