Organization Western Union
Ravi Exchange Co (Pvt) Limited
Period - (2015 to Present)
Department - Accounts & Finance
Designation - Assistant Manager
· Periodical filing of Financial reports to state bank of Pakistan (SBP)
· Reporting of STR, CTR at GOAML to financial monitoring Unit (FMU) SBP
· Western union & RIA, reconciliation (WU) & Settlement
· Covering areas through TMS for System Defined rules (FCY Buying,
· FCY Selling, TT, Remittance Inward, Remittance Outward)
· Using Name Screening system for updating of UNSC,OFAC, FIA red Book, NACTA, CTD
· Telenor easy paisa, jazz Cash, 1Link (Operational & Financial issues)
· Handling of SBP Regulatory Approval System (RAS)
· Assisting in all aspects of Forward deal (TOM/SPOT) execution with Banks
Under regulatory laws Included handling of Software module
Under regulatory laws Included handling of Software module
Organization - Western Union
Link Exchange Co (Pvt) Limited
Period - (2013-2015)
Department - Compliance & internal Audit
Designation - Assistant Manager
· Responsible for planning, developing, recommending the monitoring procedures and systems to be used in internal auditing throughout the financial and operational areas of organization
· Follow up of internal audit reports issued to branches and head office
· Review working paper and ensure completeness and accuracy of audit performed.
· Timely completion of any other related task assigned by Director Internal Audit & Compliance
Organization - Money Gram
Wall Street Exchange Co (Pvt) Limited
Period - (2007-2013)
Department - Accounts and Finance
Designation - Officer
· Correspondence with banks regarding account opening, addition and deletion of authorized signatory, foreign currency dealing process, funds transfer, Foreign currency export matters, encashment certificates
· Supervision of reconciliation with banks, branches and head office
· Supervision of staff salary, fixed assets, depreciation, prepaid, provisions for expenses
· Preparation and submission to FBR of withholding tax of statements 149, 165, weekly, monthly and quarterly (Services, Supplies and tax on staff salaries)
· Authorization of all types of vouchers in accounting software WallSoft
· Preparation of all income and expenses comparisons monthly basis
· Day end and monthly accounts posting closing
· Checking and release payments for NADRA , TCS, PSO
· Correspondence with insurance companies regarding cash insurance, vehicle insurance, Claims
Inward remittance Dept
· Affiliation with international money transfer channels Money gram, Instant cash, choice money transfer
· Execution of inward and outward remittances from online portals
· Reconcile with channels and system reports (Daily, Monthly)
· Arrange and Manage funds for branches and agents
· Customer support, support local agent by providing them solution
Outward remittance dept
· Prepare and checking telegraphic transfers / demand draft of customers , regional branches & Franchises
· Manage kyc & coordination with compliance & due diligence department
· Arrange and manage funds in bank for wire transfers
· Handle TT/DD cancellation cases
· Solve queries and customer complaint
· AML/ KYC/ CTR/STR
Certification
Certification of Data base management system (DBMS) from PVTC period of 14 months including two months internship from Federal board of revenue (FBR).
Training Session and work shops
· Anti-Money Laundering & GOAML awareness sessions & trainings held by Financial Monitoring Unit (FMU) State Bank of Pakistan.
· Training session held by Western Union (Compliance issues)
· Online training session held by Money Gram from USA for compliance, operation, trainings etc.
· Training sessions with local affiliate’s Jazz cash, Telenor -easy paisa, 1 Link.
· Training session held by SBP for Regulatory Approval System (RAS)