Working as a Foreign Trade Officer Export /import Since Nov 2015 in Bank al Habib ltd . Sound Command on Weboc, ITRS SBP reporting, DLTL , Export Subsidies and advance payment utilization in Exports .
To introduce new methods in the environment so that the intraction between the employed and the civilians combine to create a better future .
Institute of bankers of pakistan , jaibp in progress .
MBA from Iobm CBM . Logistics & Supply chain management.
Achievements
Conducted Final project capstone on Supply chain management in bank Al habib ltd related to Service's involved in supply chain process include DLTL export refinancing , export subsidies and islamic financing. Key role is to Differentiating Products of Islamic and conventional banking And their impact on risk management and financial stability of a bank .
In Advance financial management project in iobm Conducted 4 years balance sheet analysis of Fauji fertilizer company ltd . Define the facts and figures and hilight issues in their Services process flow in supply chain and their financing involved in export of finished goods .
Implementation of Quality Management ISO 9001-2015 Manual In Micro Engineering pvt ltd
Quality policy , Quality standards , Supply chain Documentation, workflows ,formats,mindmaps, Gantbcharts which will help Organization to register under ISO and enhance their business in international market .
Working as Foreign Trade Officer exports and imports .
Dealing with export documentation ,
Lc scruitny , sorting local and foreign documentation. Advance payments , weboc Eforms certification ,
Export refinancing , discounting of bills ,
Import lc opening , retirement and ITRS on monthly reporting to state bank .
Internal audit of branch , Related to Account opening , clearing, remitences , teller , voucher keeping , cheque books rectification according to state bank of Pakistan circular .
Service quality , Transfer cheque, inward outward clearing manual posting , Branch management including voucher management checking and stamping , Account opening zakat forms ,CDD and EDD of customers and Teller sorting of cash and make daily sorted cash sheets .