Self-belief and self-determination help me to achieve my ambitions, clarity of vision assist me to tap better career growth and opportunities. My competitiveness lies in turning challenges into opportunities through proactive analytical approach. I believe my academic qualification and corporate background strengthen my leadership skills to tackle challenges relating to corporate banking sector.
Doing job as a CSO and working as per JD on Account Opening and other all kinds of non cash financial transactions
Doing cash link and OTC (FBR Taxes,Fees,Sales Tax, etc.
Doing Western Union foreign remittance.
Cash deposit as well as Cash Withdraw.
Cheque Book issue & Cheque Book ATM deliver to Customers.
Update Cheque Book & ATM MIS.
ATM replenishment as well as Balancing.
Posting Outward clearing Cheque.Making Pay order within 10 TAT.
Inform to customers regarded outward clearing return Cheque.
Cash sorting like Sorted, Unsorted, Soiled categories.
Cash Balancing End of Day (EOD).
Sending Mail to Operation Manager regarded ATM Cheque Book reminder letters.
Destruction of ATM Cheque Book according SOP.Posting Utility Bills.
Discussion with Operation Manager about branch banking operations affairs.etc
Doing cash link and OTC (FBR Taxes,Fees,Sales Tax, etc.
To manage inwards and outwards against daily issuance or rejection against daily purchases.
To maintain safety stock levels of regular items.
To manage dead stock inventory for scrap selling.
To maintain proper records of inventory category wise.
Maintaining Bin Card, FIFO & LIFO Systems as and where needed
Maintain Minimum & Maximum Level of consumable Items.
Provide support to the Store Manager in implementing programs and execute operational & organizational objectives.
Record keeping of documents related to Store.
Participate at regular meetings & report any unusual events or problems to H.O.D.