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This position may be located in Lincoln, NE; Omaha, NE; or Clive, IA; What’s Important to You We know your career is just one aspect of a meaningful, complex, and demanding life. That’s why we designed our compensation and benefits package to provide employees and their families with as much choice as possible.
- Generous Paid Time Off (PTO) in addition to paid federal holidays.
- Student debt employer repayment program.
- 401(k) retirement plan with a 6% match.
- The health and happiness of the places we call home matter to us. Learn a little more about what we do for the communities we serve and why we want YOU to be a part of it.
We encourage you to apply. Reach for what you want and tell us why your work ethic and willingness to learn make you a natural fit for #TeamFirstInterstate. SUMMARY The Treasury Solutions Officer will develop and expand business relationships through referrals, business development, customer call programs, community involvement, and close working relationships with colleagues in Commercial Banking. This position will meet or exceed Treasury goals and demonstrate a commitment to the success of the First Interstate Bank strategic initiatives. ESSENTIAL DUTIES AND RESPONSIBILITIES
- Works in partnership with Relationship Managers to develop new profitable business from prospective and existing clients; developing strong account plans and executing them.
- Maintains and develops a strong network and pipeline, to include sourcing independent treasury opportunities in the assigned market.
- Expands and develops account relationships through business development, customer call program, and community involvement.
- Sells Treasury Management services to Commercial customer and prospects within a defined territory.
- Coordinates the set-up, pricing, and delivery of treasury and payment solutions when working with the Commercial Teams, Branch Managers, Financial Services Representatives, and Commercial Relationship Managers.
- Assists customers with a variety of banking needs including set-up and maintenance of treasury management relationships, payments, business credit cards, specialized business services, merchant services, and other Bank-offered services and products.
- Discusses and approaches Wire, ACH, and RDC limits both with clients and Relationship Managers.
- Maintains up-to-date knowledge of competitor’s products and pricing in the market.
- Analyzes the cash position and flow and proposes appropriate services.
- Writes and presents professional quality proposals and respond to formal requests for proposals.
- Conducts quarterly internal and external training sessions on product changes and Treasury Solutions with line partners.