Credit Operations Representative; Term
Job in
Ottawa, Ontario, Canada
Listing for:
Alterna Savings
Full Time, Seasonal/Temporary
position
Listed on 2026-02-27
Job specializations:
-
Finance & Banking
Financial Analyst
Salary/Wage Range or Industry Benchmark: 44000 - 50000 CAD Yearly
CAD
44000.00
50000.00
YEAR
Job Description & How to Apply Below
Position: Credit Operations Representative (Term- one year)
Job Type: Full-Time
Vacancy Status: This posting is for an existing vacancy
Target Salary Range: $44,000- $50,000
The compensation for this position is determined by a combination of skills, experience and is aligned to the market in which the job is posted. Your recruiter will provide additional details about our total rewards package during the hiring process.
Scope of Position
The Credit Operations Representative will be the “service center” for all e-mail and telephone inquiries to support Retail and Commercial Credit Services Products. These include commitments, payouts, renewals, posting, property tax administration, cost of borrowing and any other Credit Operations administrative functions; and performs other related duties as required.
Major Responsibilities
The Credit Operations Representative is responsible for the following areas within Credit Operations:
Efficient preparation of all Payouts for internal or external use ensuring accuracy and communication with the Retention Team;Thorough and efficient review of all incoming request prior to file preparation; to ensure that audit, risk, treasury and securitization requirements have been met.Maintain a high level of accuracy when completing all Commitment documentation in compliance with policies and securitization rules;Reads, interprets and ensures validity of supporting legal documentation such as Title Sub searches, Commitments to Insure and CMHC/GE Certificate etc;Prepares all legal documents and files in compliance with security and privacy regulations;Prepares all Cost of Borrowing documentation ensuring up to date information and calculators are used in compliance with reporting guidelines.Complete Cost of Borrowing maintenance documents ensuring that all changes to accounts are effectively reported and amendment disclosures are provided to members.Reconciliation and accurate positing of Cumis Insurance accountsPerform departmental audits for compliance with established policies and procedures to ensure regulatory, privacy and security complianceAct as subject matter experts to our internal partners with respect to Retail and Commercial products, processes, document preparation and legislative requirements.Prepare all new property tax account documentation and maintain existing property tax accounts and reconciliations.Ensure timely and accurate payment of property tax invoices to all municipalitiesDisburses mortgage funds via cheque, wire or EFT to solicitor and other financial institutions.Posts all credit transactions for retail and commercial accuratelyMaintains an ongoing and comprehensive knowledge of all mortgage related products, services, promotions, calculations, rates and adheres to credit policies and procedures as set out by the organization;Process the funding and daily requirements for Commercial and Syndicated loan Operations;Comply with regulatory deadlines to mitigate financial and reputational risk to our members/clients and AlternaPrepare and complete mortgage discharges accurately relaying the information to lawyers, branch staff and members.Reviewing documentation for quality control by identifying problems or challenges and initiating corrective actions.Review all communication received from the Supervisor regarding any policy, procedure and/or legislative changes and ensure a comprehensive understanding of the changes.Liaises with employees, member/client, lawyers, notaries, Commercial Department, and other financial institutions to facilitate all credit product, insurance and commercial transactions;Complete User Testing for any banking system releases, ensuring all processes are functioning accurately and communicate any potential risksEnsure department tracker is completed accurately on a daily basis.Educations/Certifications/Experience
Post secondary education and/ or equivalent work experience3 year of related experience in a financial institutionProficient use of Excel/MS Word requiredCompetencies
Excellent verbal and written communication skills that enables effective interaction with employees, members/clients and business representativesProven analytical and problem-solving skillsComply with hours of work to ensure deadlines and deliverables are consistently met.Demonstrate time management abilitiesAttention to details and accuracyExcellent people skills and passion for providing exceptional member/client serviceAbility to multi-task
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