Looking for a competitive opportunity, to improve my professional skills and implement them to equip myself with sound experience of serving an esteemed organization in friendly and professional environment and prove myself with my abilities. I have strong communication and interpersonal skills and can be flexible to individual needs and preferences. I approach tasks given to me in a positive and enthusiastic manner and can be relied upon to show initiative and responsibility.
1 Managing the operational work and meet the day to day challenges, supervising team leads and their respective team members.
2 Monitor and evaluate the performance of the staff in order to maintain maximum productivity.
3 Organizing and managing daily meetings with overseas clients in order to keep them updated with overall progress of work and to get in touch with them to assist the clients for routine challenges.
4 Comprehensive data analysis to meet the organizational benchmark and forecaster targets
5 Routine follow up and audit of the team’s work in order to maintain work quality and error free data transition.
6 Provide training to new staff to ensure effectiveness and smooth work flow.
8 Enforce the teams to comply with company’s approved policies and procedures
9 Daily calls with clients in order to know client’s point of view and then take decisions accordingly
1: Conduct interviews with various proprietors, partners, shareholders, and other executives of the different businesses as per banks’ request to carryout evaluation and verification of potential clients.
2: Compiled different Creditworthiness reports like Income estimation reports, SME businesses borrowing reports, Market survey of clients, Cash flow statement, etc.
3: To verify business existence through various sources including FBR & SECP online database.
4: Frequent liaison with clients and Banks during the reporting process.
5: Physically check clients accounting records, invoices, business assets and liabilities to analyze the financial strength of the business and prepare financial reports of businesses.
6: Prepare & analysis Financial Statements, Cash flow statements, Credit Worthiness & other reports of different clients by the request of banks & financial institutions for their lending purpose.
7: Conduct mini Audits, Collect, Analyzed and verify documents like financial records, Income & Sale Tax Returns, Title Documents of Assets, Auditor's Reports and other related documents.