To obtained a challanging position in National or multinational business organization, growth in career and be associated with reputable and flourishing organization, meeting the highest expectations into field.
To perform smooth Supervision of Branch Operations & to facilitate customers in their dealings regarding in banking operations etc as per guideline provided by bank (internal SOPs) , SBP and market best practices to attain satisfaction by providing excellent services to customers.
- petty cash management, admin work, voucher management & banks GL reconciliation.
- supervision of foreign currency and their arrangements.
- effectively leverage competencies of operations team staff to obtain high level of customer service and regulatory compliance.
- Provide all necessary documentation and support audit and compliance team/ SBP and their rectification on stipulated timeliness.
-Maintain strong monitoring framework regarding all operational activities in order to avoid fraud/ forgery incident, and execution of suspicious transactions.
- Regularly monitor administrative expenses of the branch, and implement cost cutting tolls and augment branch positions / profitability.
other assignments which includes:
- cheque book record keeping and balancing, branch vault & security stationery custodian,.
- Daily H.O GL reconciliation and monitoring.
- back up all operational and sale staff.
- Any other assignment entrusted by Branch Manager, AOM & AM.
To perform smooth Supervision of Branch Operations & to facilitate customers in their dealings regarding in banking operations etc as per guideline provided by bank (internal SOPs) , SBP and market best practices to attain satisfaction by providing excellent services to customers. - petty cash management, admin work, voucher management & banks GL reconciliation. - supervision of foreign currency and their arrangements. - effectively leverage competencies of operations team staff to obtain high level of customer service and regulatory compliance. - Provide all necessary documentation and support audit and compliance team/ SBP and their rectification on stipulated timeliness. -Maintain strong monitoring framework regarding all operational activities in order to avoid fraud/ forgery incident, and execution of suspicious transactions. - Regularly monitor administrative expenses of the branch, and implement cost cutting tolls and augment branch positions / profitability. other assignments which includes: - cheque book record keeping and balancing, branch vault & security stationery custodian,. - Daily H.O GL reconciliation and monitoring. - back up all operational and sale staff. - Any other assignment entrusted by Branch Manager, OM & AM.
In putter of All Branch Banking Transaction Like Cash Received, Cash Payment, Clearing instruments and transfer.
Preparation of BPVs, BRVs and JVs for bank and outside vendors as accounting report.
Reconciliation of region, Branch, Treasury fixed assets.
Preparation of monthly accruals, loan recover reconciliation, and monitoring vehicle fuels and meter reading.
Petty cash handling.
Reconciliation of all banks branch statements &submission of vendor tax deduction.
Accounts and Finance dept. And investment Banking dept.