A dedicated and self-motivated professional with over 4 years extensive experience in administrative and management practices in Branch banking operations and administration in Pakistan. A bachelor of Commerce who specializes in identifying and rectifying discrepancies and issues requiring accuracy and attention to detail at all times. Able to demonstrate an excellent working knowledge of international standard and codes appropriate to working in accounting and administrative services with proven ability to ensure full compliance therewith
Working in administrative department.
Founding member of Bank of China Ltd Pakistan Operations.
Anti-Money Laundering screening of all the Corporate and Financial Institution accounts.
Developing and maintaining KYC profiles of corporate accounts.
Respond to notices received from Law Enforcement Agencies (L.E.A) against sanction entities
and individual.
Maintain comprehensive data of banking transactions and report to Reporting Analyst in timely
manner.
Currency Transaction Reporting to Risk & compliance Department.
Coordinate with Regulatory Authorities like SBP to comply the regulations related with banking
operations.
Authorized representative of Bank of China to deal with Currency Management Department,
Banking Services Corporation, SBP
Coordinate with NIFT for membership of local clearing house and day to day clearing matters.
Coordinate with legal consultants of the Bank to get the legal opinion of different branch banking
matters
One window document scrutiny for account opening
Coordinating with corporate clients for business meetings
Opening and maintaining of Personal & Corporate Accounts
Safe keeping of Bank Passbooks with reconciliation on every day end
Providing Bank Passbooks to customers as requested
Coordinate & deal with different vendors like machine vendors, stamp & stationary vendors.
Key Performance Highlights:
Responsible for the preparation of the service quality reports.
Open new accounts and closing accounts.
Alternations to existing savings and current accounts.
Processing Internet banking requests
Processing SMS banking and SMS alert requests
Stop payment requests and maintaining stop payment register
ATM and Cheque Books delivery with daily balancing
Deals in all kind of remittance operation from making of Demand Drafts, Bankers Cheques, to
process the payment of demand drafts and banker cheques.
Monitoring of expense and claims sent for payment .
AML verification from the different branches . Settlement of all the utility and expenses GL on daily basis.
RTGS transaction from requesting of the customer and send to treasury department
Maintain Portal Generate reports daily, Weekly, Monthly reports for audit.
Tax Deduction and report submitted to SBP . Receiving and verifying invoices and requisitions for goods and services.
Verifying that transactions comply with financial policies and procedures.
Meeting with new customers for promote the products.
just 6 week as a internee at bank alfalah limited