Senior Officer- PDC Management & Physical Cheques Handling
Job Description
Job Description
JOB PURPOSE:
The job-holder is responsible for processing a sub-section of operations, within a specific product or functional area for all Cheques Clearing Functions and ensure quality and timeliness of the delivery in a cost-efficient & error-free manner, subject to high risk management and Bank's / Regulator Compliance standards. S/he is expected to support the unit in:
- Ensuring efficient error free processing of transactions with strict compliance to policies and within the agreed SLAs.
- Efficiently receive and acknowledge all physical instruments sent to Cheques Management unite for processing purpose with proper acknowledgement.
- Reporting any discrepancies or incedent accurred related or concerning physical document receiving in CMU to direct reporting line.
- To minimise operations risks for the Bank by ensuring that all transactions that are processed comply fully with underlying customer or internal instructions.
- Ensuring conformance to internal procedures / policies / guidelines and local and international norms and regulations as applicable.
- Undertaking all daily-processing activities related to a particular product or sub function in CMU.
- To assist departments by providing appropriate delivery and support functions.
- To ensure Documentations record management (hard / soft copy & scanned version) and archival as per guidelines.
- To be responsible as primary custodian of security items & customer records.
- To participate actively in the various initiatives within section / unit / FAB Centralized Operations and the Bank as and when required.
- To engage on any other activity, falling within pretext of a Processor.
- Providing periodical reports and management information for effective decision making.
KEY ACCOUNTABILITIES:
Policies, Systems, Processes & Procedures
- Follow all relevant departmental policies, processes, standard operating procedures, and instructions so that work is carried out in a controlled and consistent manner.
- Demonstrate compliance to organization's values and ethics at all times to support the establishment of a value drive culture within the bank.
Continuous Improvement
- Contribute to the identification of opportunities for continuous improvement and sustainability of systems, processes and practices considering global standards, productivity improvement and cost reduction.
Reporting
- Assist in the preparation of timely and accurate statements and reports to meet department requirements, policies and quality standards.
Customer
- Get 100% satisfactory of internal and external customers score.
Operational
- Turnaround time adherence.
- No. of errors in transaction processing to be controlled.
- Benchmarks of product(s) being handled.
- Zero operations losses.
Job Context
Specific Accountability
The job holder is responsible for processing a sub section of operations, within a specific product or functional area and ensure quality and timeliness of the delivery in a cost-efficient& error free manner, subject to high risk management and bank's/ regulatory compliance standards.
S/HE is expected to support the unit in
Operation service,
- Scrutinising Outward Scanning, RCD DCB & Repair, Reconciliation, PDC (Corporate and NHL), Controls and Review, MI & Reporting and other related clearing operations.
- Properly receive all physical instrument sent to CMU though all internal and external mail channels delivered directly to CMU adhering with bank policies related to security items couriering.
- Check all outward physical cheques before scanning/processing and ensure all mandatory visible and invisible security features are available before processing.
- Ensure all outward clearing cheques received before cut off time are processed in ICCS server at CB for presentment to paying bank.
- Properly receive or deliver all new lodgements/cheques return through TG.
- Ensure that all PDCs received from the branches are lodged, verified, and arranged.
- Ensure all PDC withdrawal requests are processed on system, dispatched to branches through bank secure channels.
- Control and ensure the presentment of PDCs daily after reconciling all physical cheques with system record before either scanning in outward or release it from the system.
- Processing of all outward cheques though ATM/CDM/Drop box/corporates collections, PDC and other department. Remote deposits are processed on time with necessary referral to concern branches within processing TAT.
- Ensure safety of all physical cheques received from branches or other channels after cut-off time.
- Processing the reconciliation of outward physical cheques received from branches / RCD corporates with necessary follow up and tracking with all branches or RCD tenants for not sending the cheques within 2 working days and report any delay to head of clearing in breaches.
- Closely monitoring ICCS system dashboards and ensure all items reported by CB uploaded in updated on FAB ICCS on time / all customer transaction posted properly, report any issue observed to ITD.
- Response all customer/ branches inquires on time without any delay, reporting any errors or risk to head of clearing on same time with very high level of communication skills.
Qualifications
Minimum Qualification
- Bachelor degree or equivalent education with accounting/ banking background.
Minimum Experience
- A minimum of 1 years relevant experience in the banking operations sector with at least 3 years in similar positions of progressively increasing managerial responsibilities in the banking operations function.
Job Details
Employment Types:
Full time
Industry:
Banking / Accounting / Financial Services
Function:
Finance & Accounts