divpTo be part of a challenging business environment and contribute towards building values to the organization./p/div
o Opening all the category of account normal, proprietorship, partnership, private limited, public limited, trust and NRP. o Account opening documentation and processing in system without any delay o Dormant / In-Operative Accounts handling o Processing and balancing inward, outward clearing, pay order, transfer, OBC, FDD and intercity o Inward and outward foreign remittance, RTGS. o Locker balancing, Issuance of tax certificate and account maintenance certificate. o Issuance, maintenance, and destruction of Cheque Books and ATM Cards o Special effort toward service quality as per bank polices o International transaction report on month end (ITRS) o Customer handling for their quires regarding Islamic banking system and general banking as well
o Cash receipt payment / sorting / posting. Utility Bills collections/ Cross Branch Transactions.
o Preparation of all cash related statements required by SBP and Head Office.
o PKR & FCY Balancing of cash at the end of day
o Ensure minimum waiting time for customers while doing cash transactions and deal
o Processing and balancing inward, outward clearing, pay order, transfer, OBC, FDD and intercity
o Inward and outward foreign remittance, RTGS.
o Maintain ATM Annexures on daily basis
o Monitoring and processing of all activities pertaining to ATM Operations and ensure that ATM cash is balanced.