To seek a key position in the organization to play a vital roll applying all of my capabilities and professional qualification to make my contribution in the progress/development of the organization and put in best of my efforts in achieving the Organizational Goals and Objectives.
• Handle and control cash transactions of customers by monitoring deposits and withdrawal accurately in line with SBP regulations and guidelines.
• Maintain capability of cash handling by balancing the physical inflow and outflow of cash.
• Ensuring that the highest level of customer service is provided at all times and the customer’s banking needs are fully met in a professional and competent manner.
• Ensuring uninterrupted ATM service to customers, ATM Cash Replenishment, claims handling and reconciliation with GL Accounts.
• Processing & lodgment of Inward / outward and intercity Clearing i.e. ensuring their physical scrutiny according to the given Standard Operating Procedure.
• Follow up with customers for collection of un-paid returned cheques and further processing as per customer requirements.
• Processing & Handling Remittance related functions i.e. Home Remittances, Processing of RTGS & IBFT, Issuance and cancellation of B.Cs & CDRs.
• Preparation of daily, weekly and monthly reports.
• Perform other job-related duties as assigned by the BM/BOM.
Facilitate the customers and perform core duties of the bank by mainly receiving and paying cash.
Handle and control cash transactions of customers by monitoring deposits and withdrawal accurately in line with SBP regulations and guidelines.
Increase and maintain capability of cash handling by balancing the physical inflow and out flow of debit and credit with the help of vouchers.