Greater Chicago Area
I am currently a graduate from National Louis University since 2020. I obtain my Bachelors in Business Management with the goal of obtaining my degree in Business Administration I am working at JPMorgan Chase and being apart of the company currently as Full Time employee trying to obtain as much experience of the banking side of the firm.
The Loan Servicing Specialist II position is an Entry Level role within the Servicing teams. Responsible for processing lower complexity loan transactions, in a fast-paced environment associated with various supported market segments. Responsible for various forms of monetary and non-monetary related transactions on the applicable commercial loan system. The position also entails researching and processing maintenance transactions for monetary and non-monetary transactions. Knowledge of collections, reconciling differences, monitoring interest/fee/principal past dues & various maintenance requests ensuring system integrity. Career progression is based on following performance metrics: productivity, quality customer satisfaction and contributions to the team.
Job performance is the assessment of whether an employee has done their job well. Job performance is a hugely important process to the entire company's success. I scored highly with being recorded as a good employee.
The Compliance Support Analyst (CSA) works cooperatively with the CCLO Deal Specialist (DS) team to provide commercial lending services for both our P&C and Capital Markets internal business partners. This position performs specialized covenant and trigger tasks for the Investment & Corporate Banking portfolios. Duties include, but are not limited to, providing data entry support in the C&T Tool to track covenants, ratios, debt ratings and triggers.
Collaborate with other team members to finalize loan applications. Utilize Encompass software to manage entire verification process. Responsible for developing, sending, and recording mortgage documents. Reviewing Closing Disclosures, completing audits, depositing funds, recording transactions, and reconciling files, handing priority files that need to be send out immediately. Oversee compliance with bank policies and ensure the title and lender are listed accurately on all paperwork. Perform post-closing review of closed loan packages to determine completeness, accuracy, and compliance with guidelines