Key Responisibilities: Daily rollover of loans : ATM reconciliation for ATM cash replenishment and switch reports. Nostro reconciliation including Mastercard ATM/POS transactions and VISA ATM transactions. Preparation of voucher and posting of entries for ATM cash replenishment, Nostro settlement accounts…
Key Responsibilities : Build relationships with institutional and corporate clients/ prospective clients to develop corporate/Institutional business opportunities for the bank. Marketing/canvassing of new business relating to Credit, Trade Finance, Remittances, and Deposits etc. from corporate clients. Enhancing the relationship from…