To obtain a position and work with your dynamic and well reputed professional organization where I will be able to contribute my Professional Knowledge, Skills, and Experience, and where my skills will be appreciated and enhanced, that will be aiding the advancement of the organization and make benefits for mutual growth and success.
Branch Banking Operations – Dawood Centre Branch (2441), Karachi
From September 2017 to date
Cash / ATM:
Receipts & Payments (sorting / posting & balancing (PKR,USD,GBP,EUR)
Online transactions Withdrawal/Deposits (Foreign Currency & PKR)
Utility bills (posting & balancing etc.)
ATM Replenish and CDM Handling
Preparation of all cash related statements required by SBP and Head Office
Cash received & payment to CFC
Insurance covered of limit excess cash
Cash feeding, Physical Balancing, Supplies, Card capture etc
Balancing ATM GL & Excess GL
Manage concerns and queries of customers efficiently and promptly
Ensure minimum waiting time for customers and deal customer politely & with courtesy
Remittance:
Issuance of Bankers Cheques
Local Fund Transfers (LFT). Fast Cash payment / Home Remittances
Clearing:
Inward / Outward clearing (posting & balancing as per MISYS system)
Inter-city clearing
Account Opening:
Issuance of Cheque books
Others:
Check daily Vouchers and JRC
Prepare & report to Manager daily position of Branch Deposits
Responsibilities:
Maintaining Tracking Device Inventory.
Maintaining cellular Sim Inventory.
Co-ordination with Technician’s (All over Pakistan)
Excellence in Management Reports.
Record daily deliveries and shipments to reconcile inventory.
Maintain Stock Inventory
Control Billing of Cellular Sim
Devise ways to optimize inventory control procedures
Analyze data to anticipate future needs
Report to upper management on stock levels, issues etc.
Responsibilities:
• Daily sales, purchase & stock update in Peachtree 2010.
• Daily receipts & expenses maintain.
• Maintain Customer Ledger.
• Monthly sale report & receipts reconcile in Microsoft Excel & Peachtree.
• Working in Peachtree Quantum 2010 (Accountants' Edition)&MS Excel 2007
• Cash & Bank Reconciliation.
• Correspondence with Bank’s.