Business Graduate, Working as Hr Executive at Jubilee life insurance company previously worked as Operations Officer for UBL Fund Managers and General Banking Officer at Bank AL Habib.
Overseeing Post Recruitment for Banca, IL/Takaful Sales & Support Staff,
Coordination with Recruitment Team, Reviewing Recruitment Files ,
Coordination with Payroll team for processing advance salaries/ issuance of salary checks,
Coordination with IL/Takaful Agency & Compliance department for any Re-hiring Case,
Generating Sales Codes for sales staff (Bse's Assistant Branch Managers & Above),
Updating Employee Database on Erp (HRMS),
Issuing Offer & Appointment Letters,
Enrolling Newly Joined Staff For SBL I Training,
Verification of the Degrees and Previous Employment.
Bonus Processing & Issuing Salary Sheets,
Processing Annual Appraisals for Banca sales & Support staff,
Processing Quarter/Mid year Appraisals for IL/Takaful Sales Staff.
Working as Operations Officer (Back Office) functional area is Account Opening.
• Work closely with Processing Officers to facilitate the collection of KYC and other
relevant documents in accordance with the prevailing account opening procedures and local regulations.
• To ensure evidence of each client’s identity and other relevant documents are received in order before account opening.
• Review and approve KYC for new client on-boarding for standard sensitive accounts (i.e. non-high-risk clients)
• Ensure all client files are stored and maintained accordingly (electronically and in paper format).
• Support Front Office queries related to client on boarding and client due diligence process.
• Ensure timely processing of account applications as per agreed SLA’s.
• Abide with operational risk procedures and escalate to seniors where necessary
Appointed as Operations Officer, Liabilities Department - Islamic Banking
Assisting Manager Operations.
Account Opening:
Doing KYC of Customers,
Customer Risk Profiling, Verification of documents,
Issuing of Check books and ATM Cards,
Providing Quality Customer Service.
Financial Transactions:
Fund Transfers, Inward/Outward Clearing, issuing Banker's Checks,
Inward/Outward Remittances (FTT),
Ensuring all the transactions are fair without any negligence and under the Audit/ Compliance guidelines of the Bank and SBP.