Officer Branch Operations at Habib Metropolitan Bank (2022-02 – Present)
- To Process and Issue Remittances instruments (Pay order, pay slip, Demand Draft, Online transactions) requested for Issuance in transfer as input level, as per operation manual\procedure.
- To check all daily transactions/postings Undertaken, for accuracy and completeness and that the reporting of activity is done after duly checking and signing the daily posting sheets for record and Audit trail.
- To conduct periodic review of relevant GL Heads for balancing and reconciliation including (PO, DD, OBC, Lockers, Time Deposits etc.)
- To ensure properly undertaking other general banking services like:
- issuance of token wherever necessary due to manual cash operations.
- Lodgment and Settlement of OBC
- Stop payment
- Record keeping, update respective monthly balancing along with necessary prescribed compliance measures.
- Issuance/encashment time deposits certificate etc.
- Issuance, payment, balancing of pay order, DD/etc.
- ATM Claim Settlements.
- Internal transfers/online fund Transfer.
- Assisting in inward and outward FCY Remittances transactions other than foreign trade transactions.
- Responding to customer queries w.r.t Products, Account Opening/formalities, KYC Maintenance and Customer Due diligence as per the operation Manual and PR (M1-M5).
Officer Grade III/Teller at Habib Metropolitan Bank (2019-01 – 2022-02)
- To accept and process cash deposits receipts (local and foreign currency)/utility bills and withdrawal after duly verifying to authenticity of the currency notes and instruments.
- To initiate process of issuance of remittances i.e. Pay orders, demand draft, fund transfers as per the prescribed process.
- To handle online transfers in order to accept deposits/payments from the customers as per operation manual/procedures.
- To balance currency at end of the day against the cash receipts withdrawal instruments handled over the counter, update cash book, Undertake Sorting, prepare cut and soiled notes for onward submission/dispatch to cash cell SBP.
- TO ensure daily transaction posting are checked for currency.
- To responsible for daily and timely replenishment of Atm.
- To keep himself abreast of latest instructions circulars and update on bank policies