A Resourceful, self-motivated, results driven professional with outstanding Managerial skills and expertise gained through studies in Industrial Engineering & Management as well as my experience working for Bank Al Habib Ltd & Bank of China Ltd Pakistan Operations.
Possesses strong financial control and reporting skills working professionally to ensure all statutory and corporate obligations are met. Have proved the ability to prioritize and work to tight deadlines.
Seeking a challenging role, where my existing skills and qualifications will add value from the outset, whilst I continue to further develop my skills and knowledge any of the field
• Founding member Bank of China Pakistan Operations
• Designing and printing of all branch banking forms
• Continues reporting to Risk & Compliance Department to get regulatory, risk and compliance point of view on branch banking forms and get the approval done.
• Coordinate with Regulatory Authorities like SBP to comply the regulations related to banking
• Authorized representative of Bank of China to Currency Management Department SBP
• Team member of branch banking SOP Establishment team
• Coordinate with NIFT for membership
• Coordinate with legal consultants of the Bank to get the legal opinion of different branch banking matters
• Coordinate & deal with deferent vendors like machine vendors, stamp & stationary vendors
• Open new Personal & Corporate Accounts
• Open Foreign Currency Accounts
• Foreign Remittance
• Back up of RTGS operator
• Safe keeping of Bank Passbooks with reconciliation on every day end
• Providing Bank Passbooks to customers as requested
• Branch Sign-In and Sign-Off operator
Open new Accounts and Closing Accounts.
Alternations to existing savings and current accounts.
Processing Internet banking requests
Processing SMS Banking And SMS Alert Requests
Stop Payment Requests and maintaining Stop payment register
ATM and Cheque Books Delivery with Daily Balancing
Responding to Account Opening, RMMS Call Logs
Overseas transfers.
Promote bank products and services.
ADDITIONAL TASKS PERFORMED AT BANK AL HABIB
o BACKUP OF MANAGER OPERATIONS:
Authorization of general banking and cash transaction.
Monitoring of cash balancing at the end of day.
Monitoring of ATM Replenishment.
Monitoring batches of all the staff on daily basis.
o REMITTANCE DEPARTMENT:
Posting of Inter Branch Funds Transfer.
Receiving and Processing of Local Collection.
Deals in All Kind of Remittance Operation from Making of Demand Drafts, Bankers Cheques, To Process the Payment of Demand Drafts and Banker Cheques.
Process All Outward Clearing Cheques and Ensure the Clearing Account Is Reconciled and Zerorised Daily.
Settlement of All the Utility and Expenses GL on Daily Basis.
Safe Custody of Outward Clearing Cheques before Forwarding to Head Office.
Submit Daily Outward Cheques To Head Office.
Maintaining a Register of Returned Cheques.
Receive And Respond To Customer Service Inquires On Account Balances, Transactions Details, Statements And Fees And Charges.
Program Assistant job Title includes Event Management, Office Documentation, project Management