A Banker with a diversified experience of 07 years from Retail to Commercial Banking. Hands on experience in Credits, Liabilities, Operations and project management.
Project team member for development of an Asset Side of Digital Banking.
Key Responsibilities
- Assist the Head of Credit Initiation & Monitoring Software unit in developing technical solutions for banking needs as per the regulatory requirements.
- Collaborates with the asset side divisions for automation of their routine tasks.
- Define, analyze and document the requirements.
- Liaise with developers for development of technical utilities to enhance productivity and minimize work load.
- Perform the Internal Acceptance Testing (IAT) for the developed utilities.
- Design and develop the Standard Operating Procedures for every utility describing the functionality of the system.
- Coordinates and assist divisions for performing User Acceptance Testing (UAT).
- Assists in planning and conducting trainings for the concerned divisions.
- Implementation of the developed utilities in the live environment and provide the after implementation support to users.
Key Projects
- Automation of Charge Documents for Credit Administration Division
- Deployment of User Access Rights Management Module for an in-house developed Credit Software (CIMS).
- Development of System based Credit Check-list in CIMS for Credit Proposals.
- Development of e-Credit Sanction Advices for Credit Division where proposals are routed on papers instead of system.
Managing a team of Credit Operations Unit (south) for Conventional as well as Islamic Banking Transactions.
Supervision of day to day transactions related to Funded & Non Funded Businesses.
Implementation & adjustments of limits of Funded & Non Funded Business like FATR, FIM, CF, LC, LG, F/LBD, Corporate Lease in core banking system.
Disbursements & adjustments of all Islamic Banking Financing Products like Murabaha, Ijarah, Dimishing Musharika, Salam, Istisna as per their approved Shariah Process Flows & product manuals.
Preparation of Repayment Schedules of all Islamic Facilities as per the needs.
Preparation of Weekly Advances Report against Islamic Financings for Senior Management.
Preparation of Weekly Murabaha Monitoring Sheet.
Preparation of Monthly Overdue Report representing a 360 degree view along with a calculated charity amount for the days lapsed of Customers availing Islamic Financings & shares the same with RMs of CSME & Corporate for their record & recoveries and for review of senior management.
Supervision of monthly accruals for Islamic Facilities.
Marking & de-marking of the NPL (FAPs) in the system on quarterly basis through the management approved report and booking / reversal of suspended incomes accordingly.
Preparation of Balance Confirmation Certificates for External Auditors of the clients as and when required.
Reconciliation of salary voucher before disbursement of the salary for the correct deduction of Installments against Staff Financings.
Liaison with CAD - Documentation Unit, RMs of CSME & Corporate, Trade & Credit Hubs at Branch, CPU Trade Team, IT support & PMO, ERMG, IBD & Shariah Department for smooth operations of department in all respects.
Working Under direct reporting to Country Head Credit Operations & Monitoring Unit.