My key skills include Banking Operations, CPU Management, Finance & Audit Management, Quality Assurance, Cash Books Maintenance, Profit & Loss Account Management, Business Administration, Property Ledger Maintenance, Team Leadership & Training and Revenue & Expenditure Analysis
My professional background and great industrial exposure coupled with an excellent track record makes me an ideal candidate for executive roles. As such I would welcome a discussion regarding opportunities with your organization that fit my background.
Senior Officer (CPU, Sargodha), Aug 2015 – Present
Operations Officer (Processor), Mar 2012 – Jun 2015
Hold full accountability for overseeing and matching counting and technical inspection of instruments with NIFT summary. Properly mark inward/outward returns in the system while balancing MO from the branch. Create and retain accurate records of audit trial via close collaboration with branches and NIFT. Analyze verify the signatures of POA holders appearing on PO/DD/CDRs with the updated attorney Book.
Key Accomplishments
Set a benchmark of excellence by verifying customer signature on cheques of inward clearing from the system.
Assured error free posting of inward / outward clearing posting while supervising operational activates of processor at CPU in line with the standard procedure.
Successfully downloaded and forwarded NIFT files from Dongle to T24Ops for upload files. Assigned posting / permission rights to the CPU staff in T24 within processors’ maximum approved limits. Interacted with branch / area manager / HO to discuss issues related to instruments. Rendered keen eye for details to conduct internal and external audit for achieving good audit rating. Upheld proper backup on a daily basis as per IT requirements.
Key Accomplishments
Achieved bottom line results by leading operational activities and implementing daily inward and outward clearing in line with the guidelines standard operating procedure and instructions.
Skillfully examined balance of branches and delivered inward return to NIFT to appear summary in the system while reflecting the zero balance.
Examined and retained activities by manger CPU on a daily basis. Rectified and disposed deficiency under the information of CPU Manager. Prepared and upheld safe custody of financial instruments and deposited slips at the CPU.
Key Accomplishments
Competently analyzed error free activities of inward/outward clearing instruments in line with standard procedures as well as devised reconciliation of vouchers and statements as per the bank policy.
Succeeded in making error free posting at CPU in related customer as well GL accounts.
Reported proper scrutiny of cheques to the Head Office on a daily basis.