Skip to main content
Tallo logoTallo logo
Apply for this opportunity

This job application is on an outside website. Be sure to review the job posting there to verify it's the same.

Loan Servicing Specialist II

Job

Opportunity Bank of Montana

Billings, MT (In Person)

Full-Time

Posted 3 weeks ago (Updated 6 days ago) • Actively hiring

Expires 7/8/2026

Review key factors to help you decide if the role fits your goals.
Pay Growth
?
out of 5
Not enough data
Not enough info to score pay or growth
Job Security
?
out of 5
Not enough data
Calculating job security score...
Total Score
38
out of 100
Average of individual scores

Were these scores useful?

Skill Insights

Compare your current skills to what this opportunity needs—we'll show you what you already have and what could strengthen your application.

Job Description

Loan Servicing Specialist II Opportunity Bank of Montana - 3.2 Billings, MT Job Details 15 hours ago Qualifications Loan payment processing Financial services customer support Investor reporting (loan processing) Mortgage lending Account maintenance Investor relations reporting Regulatory reporting Filing Client file management Research Mid-level Invoice payment processing Mortgage customer account management Tax compliance reporting Loan operations reporting Loan funds disbursement Customer support for financial loans Handling account queries Full Job Description Essential Functions & Key Areas of Responsibility Service customer needs to include but not limited to phone calls, payments, payoffs, research, etc. Process payoff quotes and complete loan payoffs. Demonstrate superior proficiency in booking completed mortgage and consumer loans including disbursements and all required set ups. Pay weekly and monthly bills for vendors. Complete monthly/quarterly required reports. Process monthly loan payments. Maintain loan files and document all file maintenance for review. Set-up, maintain and service all insurance for mortgage or consumer/commercial loans. Complete required steps with paid off loan files. Understand and learn investor requirements. Complete daily/monthly investor reporting as needed. Complete investor remittance as needed. Analyze reserve accounts annually and disburse semi-annual taxes as required. Perform other related duties as assigned.