概要

Experienced and motivated Reconciliation Specialist utilizes exceptional auditing and investigating skills to identify discrepancies and resolve them. Has excellent analytical and accounting abilities. Has a Masters Degree in Business Administration and more than 17 years of professional experience in which 10 years in Bank Reconciliation and settlement in ADC operation and rest of the experience in Non-Banking industries.

工作经历

公司标识
Currently, I am working as Senior Officer I (OG II) in ADC Operations Dept.
Meezan Bank Limited
Feb 2017 - Sep 2019 | Karachi, Pakistan

Maintaining all 1 Link net off settlement (cash widthrawal, IBFT and BPS)on daily basis.
Reconcile, posting and reporting net off settlements to Treasury Dept.
Reconcile all settlement related to ADC from 1 Link.
Reconcile and posting income and Expenses of IBFT and BPS in their heads.
Monitoring all customer claims regarding IBFT and BPS.
Monitoring all disputes regarding IBFT and BPS on SDRS (Switch Dispute Resolution System).
Posting all outstanding credit entries into customer account regarding BPS and IBFT.
Reconcile and posting CDC Bill Payment settlement and income after balloting of shares.
Reconcile and posting all E-Pay (FonePay and Foreepay) Settlement and income in their heads.
Reconcile and Posting of PRAL (FBR Challans thorough Bill Payment, 1 Link Government Collections) settlement and income in their heads.
Reconcile, posting settlement, income and expenses and resolution of all disputes of Pay Pak pos.

公司标识
worked as an Assistant Manager (OG II) in ADC Operations Dept.
Albaraka Islamic Bank
Jan 2016 - Feb 2017 | Karachi, Pakistan

Responsibilities include
Reconciliation of 1 Link Cash Withdrawal, IBFT and UBPS on daily basis.
Reconciliation of Mnet Cash Withdrawal and IBFT.
Claim forward to member bank through SDRS.
Daily resolve all claims related to switch
Daily send all credits to branches which received from 1 Link.
Daily send all exceptions which receive after reconciliation.
Maintaining M.I.S of Captured Card.
Maintaining M.I.S of Debit Card return from customers.
Monthly calculated ATM Acquirer Income (Terminal wise).

公司标识
Team Member( Atm Settlement and Reconciliation)
BankIslami Pakistan Limited
Nov 2012 - Dec 2015 | Karachi, Pakistan

responsibilities include
Responsible of daily checking and reconcile accounts of ATM Excess and Shortage of all branches
Make settlement entries of ATM Excess and shortage on daily basis
Maintaining MIS of daily settlement of ATM claims, excess and shortage on daily basis
Daily reconciled of inter-switch settlement and voucher posting of the same
Daily updated ATM Activity sheet.
Maintained MIS of IBFT proactive, complaints and settlement.
Resolved IBFT and UBPS complaints on daily basis.
Daily reconciled IBFT (Inter-bank fund transfer) and forward the settlement to branches.
Monthly calculated ATM Acquirer Income (Terminal wise).
Monthly calculated Visa Income.
Daily reconciled of ATM Settlement Account.

学历

Virtual University of Pakistan
硕士, , MS/MBA in Finance‎
Accounting & Finance
2013

技能

熟练 Active Learning
熟练 ADC Settlement And Dispute Analysis
熟练 Handling Assignments
熟练 Proactive
熟练 Sports Wear Knowledge

语言

中级 英语
中级 乌尔都语

关注的公司

查看更多