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Work experience

Sep 1999Present

Currency Transaction Reporting Analyst


I am responsible for daily assessing large customer deposit and customer/ non-customer withdrawals.  This involves me contacting branches bank wide about the one on one contact they had with these customers/non customers so that they can detail for me what actually transpired and I can relate it to the Internal Revenue Service.

Sep 1999Jun 2005

Back Up Head Teller/Vault Teller


This involved me daily having to balance a total of two cash windows. I was also responsible for helping other tellers balance and locate discrepancies. Along with those responsibilities, came the responsibility of balancing the branches' ATM. I also was the branch security coordinator. This involved monthly meetings with all branch employees about plans we can implement to have a safer work environment, and made sure rules were always carried out.


Aug 2009Present

North East MS Community College