Pakistan
• A Skilled and dedicated banking officer having over 10 years of experience in various departments of leading bank. With a proven track record of success. • A leader that mentors, encouraging growth, empowerment of team members, building consensus, and open communications • Recognized for efficiency, hard-work, patience, good inter-personal skills and being a faster learner • Managed multiple business processes where multiple department are involved and efficiently controlled the required logistics • Excellent communication & negotiation skills in dealing with vendors, team members, peers, managers, and executive management • Practical experience in implementing and utilizing banking software • Practical Experience of “SAP Software”
Direct all operational aspects including distribution operations, customer service, human resources, administration and sales. Develop forecasts, financial objectives and business plans. Meet goals and metrics. Manage budget and allocate funds appropriately. Bring out the best of branch’s personnel by providing training, coaching, development and motivation.
Looking after the entire assignments of foreign exchange operation of Islamic banking branch. Managed the supervision of all assets and financing transaction of MCB Islamic Banking including LC establishment, LC Payment, Shipping Guarantees. Airway Bill Endorsement, Advance Payment Export, Advance Payment Import , Foreign Telegraphic Transfer Managed Overall Trade & Financing activities of MCB Islamic Banking Branch FX Reporting, Monthly FE Returns, SBP Reporting as and when required. Compliance Coordinator To assist Head office in achieving the following objectives Taking care of the assignment of compliance in the branch. This includes adherence to the rules and regulations defined by SBP guidelines for ‘Know Your Customer’ and observation of instruction regarding ‘Anti Money Laundering To ensure accuracy and timely submission of regulatory reporting Analyze branch data to identify suspicious and unusual transactions Acting Operation Manager In absence of BOM Effectively took over the responsibilities of Hub operation Management
Performed Following Duties in the trade department LC Establishment, LC Payment , LG Processing, Export Collection , Foreign Bill Purchase FOREIGN CURRENCY Issuance and payment of FDD and FTT Handling of cash transactions of foreign currencies Lodgment and realization of FDD’s and cheques on collection Making and conveying diff SWIFT messages
• Prepares asset, liability, and capital account entries by compiling and analyzing account information. • Bank reconciliation, posting and balancing • Weekly wages, petty Cash and other journal posting. • Daily bank receipts positing • Documents financial transactions by entering account information • To complete and maintain sales invoices and reports • Monthly management account preparation • Year end audit analysis • Installation of Accounting Software