To get such a position which will help me enhance my career ability and help me grow my personality and get experience which helps me in managing with the changing environment needs and prove my ability.
To ensure that the branch operations are processed effectively and efficiently while adhering to Bank's and Central Bank polices and procedures.
To ensure that the branch operations are processed effectively and efficiently while adhering to Bank's and Central Bank polices and procedures.
RESPONSIBILITIES/DUTY
Dealing with the customers
Account opening
Clearing & transferring cheaques
General Banking
ATM custodian
Assigns codes to data.
Designs, prepares, and maintains spreadsheets on MS-Excel.
Prepare consolidated trial Balance, Balance Sheet and Profit & Loss Statement at initial level.
Prepare Quarter and Annual reports for Board of Directors meeting.
Maintain data backup.
Assist in all daily operation.
Strategic Consulting, including business plan & sales strategy development.
Advising new businesses on formation of corporations and business structures, drafting privacy policies and structuring commercial transactions.
Generated new development deals for a real estate development company that focuses on multi- family residential projects, including real-estate market analysis.
Comprehensive database management and migration from SQL to Oracle.
Instruction on workstation setup for prevention of eyestrain, repetitive strain injuries, and back pain. Give onsite and offsite classes.
To communicate with a valuable customers through a good call and provide a full services according to their need or visited their location and then build a more references from them.
Insurance brokers or carriers.
Builds pipeline base by meeting with potential clients and aware them on the benefit of their products
RESPONSIBILITIES/DUTY
Daily vouchers maintaining
ATM issuance
Accounts maintains
Account opening
Tax statement maintains
Compliance reporting
Monitoring KYC (after three months, six months and one year)
ATM balancing
Admin issues related to Banks and, office maintains
Leave records maintains
Files maintains
Prepare daily sales report.
Establish and maintain customer accounts.
Prepare & Issue Invoices to customers.
Reconciliation of Customer Ledger.
Monitor & receive outstanding payments of customers.
Monitor Open & Close Sale Orders.
Reconcile daily deposits from customers.
Prepare Petty cash payment vouchers, Bank receipt vouchers, Journal vouchers.
Follow up and Collection of Outstanding Tax Challans from Customers.
Responsible to open bank account of new employees