Our Team

Barbara Claiborne, Manager Manages the Treasury Reporting Department.
Blanca Marquez Petty cash fund creations, additions, change of custodian, reconciliation of loan funds and treasury accounts.
Marie Smith Returned checks, payments for collection accounts, processes cashier batch corrections.
LaVerne Gentry Vendor Set-Off program, processes claims against vendor payments. Debt Set-Off program, processes claims against individual tax refunds.
Ciera Davidson Bank reconciliations, electronic payments receipts and Deposit/Receipt processing inquiries.
(please allow for two business days for an email response)