To get a good position in a progressive organization to implement my knowledge, ideas and skills with my creativity and to grow along with the organizatio
•Handling the Cash Transactions, Cash Closing, Foreign currency transactions (USD,
GBP, EUR)
•Balancing of Cash
•Cash Shipment Send/Receive
•Daily Branch GL Balancing/reconciliation before EOD
•Backup Locker Custodian
•Issuance of Account Statements & Reference letter/Account Maintenance Certificate
•Transfer cheques, Pay Orders and FCY Demand Drafts
•Scrutiny, & Balancing of outward clearing, transfer entry/voucher, Same day, OBCs &
Intercity
•Outward clearing/Return registers maintenance.
•Account opening , EKYC maintenance, CDD\'S maintenance
•Customer service, handle queries, advising bank products and devising solution to meet
customer’s requirement
•Inward/outward remittance and RTGS processing
•Recording and maintaining stop payment Instructions
•Cheque Books, Debit Cards and Internet Pins issuance and maintaining MIS
•CTR Reporting and other daily MIS reporting
•Any other responsibilities assigned by Management