Executing transactions for corporate customers including Escrow and Capital market activities, Nodal account operations, Exchange FD, ASBA and Government Business.
Executing the transactions in line with the agreement and ensuring we comply with the clauses in the agreement, in a time bound manner and error free manner.
Work as an effective business partner in strategizing and driving the implementation of critical operational and regulatory practices for the bank.
Ensure the processes and policies are compliant and streamlined within the Regulatory guidelines.
Employ tools such as automation and digitization to increase process efficiency.
Ensure accurate and timely MIS and internal reporting.
Collaboration with Business groups for implementation of new deals.
Ensuring BCP preparedness for all the CPC Units for customer service.
Ensuring all the BGLs are reconciled and there are no open entries to be reported to Finance.
Compliance with the Bank\'s DNA on Customer First.
Working closely with the team members to ensure timely completion of daily activities.
Resolve all the Queries, collect feedback on process change from team and take up with stakeholders.