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18 Jobs in Basoda, Vidisha, MADHYA PRADESH for bank
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[MAK 366] Urgent requirement for Data Entry

Urgent requirement for bank Totally free of cost no charge Qualification:-10th 12th graduation Facility: both side cab +pf+esi Locatin near by 12km from your home The original job offer can be found in Kit Job: www.kitjob.in/job/20756790/mak-366-urgent-requirement-for-data-entry-basoda/
-Source (Mitula)

[MAK 366] Urgent requirement for Data Entry

Urgent requirement for bank Totally free of cost no charge Qualification:-10th 12th graduation Facility: both side cab +pf+esi Locatin near by 12km from your home The original job offer can be found in Kit Job: www.kitjob.in/job/20756790/mak-366-urgent-requirement-for-data-entry-basoda/
-Source (Mitula)
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[MAK 366] Urgent requirement for Data Entry

Urgent requirement for bank Totally free of cost no charge Qualification:-10th 12th graduation Facility: both side cab +pf+esi Locatin near by 12km from your home The original job offer can be found in Kit Job: www.kitjob.in/job/20756790/mak-366-urgent-requirement-for-data-entry-basoda/
-Source (Mitula)

[MAK 366] Urgent requirement for Data Entry

Urgent requirement for bank Totally free of cost no charge Qualification:-10th 12th graduation Facility: both side cab +pf+esi Locatin near by 12km from your home The original job offer can be found in Kit Job: www.kitjob.in/job/20756790/mak-366-urgent-requirement-for-data-entry-basoda/
-Source (Mitula)

Job For Junior Relationship Officer In Bhopal Region, Madhya Pradesh

SkillSet: sales, marketing, banking, customer relations, target. Greetings of the day. ! Muthoot is hiring JRE for Bhopal Region, Madhya Pradesh We are looking Candidates for: Gwalior,Bhopal,Indore,Ujjain,Dewas,Jhansi,Raisen,Vidisha,Sehore,Shivpuri,Dhar,Hoshangabad,Biaora,Harda,Sagar,Astha,Ganj,Basoda,Vidisha,Ashok,Nagar,Shujalpur,Sonkatch,Shajapur,Bina,Pipariya,Bareli,Narsinghpur,Tikamgarh,Guna,Betul,Khargone,Jaora,Ratlam,Sanawad,Gadarwara,Chhatarpur,Pithampur, Neemuch, Mandsaur, Seoni Malva, Lalilpur (UP), Minimum Education Qualification: - Must be a Graduate-Regular JOB DESCRIPTION FOR JRE (Junior Relationship Executive) (Males Only) (Age below 29 years) Responsible to attending walk -in clients at Branches. Responsible for accepting & appraising gold jewellerys as per company norms. Ensuring proper Verification & Valuation of Collateral Securities and Documents. Responsible for processing/ documentations of Loans & other financial services. Responsible for cross selling of al
-Source (Mitula)

Authoriser Basoda Madhya Pradesh, Madhya Pradesh

Job Description A. Clearing Operations:Inward Clearing:Authorise all Inward clearing instruments within the cut-off timings without exceptions. Tallying of cheques received verification and authorization of entries. Book receivable or payables under intimation to the unit-in-charge. Handling of Returns and Referrals:Identify and return eligible cheques to the presenting bank. Raise referrals for cheques as applicable including Co-operative Bank cheques and follow-up. Maintain cheques return register and other records. To ensure timely processing of all cheques within the cut off time and return the same within the permissible time. Outward Clearing:Authorisation of all outward clearing entries within the cut-off timings without exception. Verification and authorization of all entries before presentation in outward clearing. Ensure inward returns and ensure Nil exceptions. Co-operative Bank Cheques:Authorisation of Co-operative Bank funding sheets and validation of Co-operative Bank
-Source (Mitula)

Authoriser - WBO

HDFC Bank - Basoda, Madhya Pradesh - Job Description - A. - Clearing Operations: Inward Clearing : Authorise all Inward clearing instruments within the cut-off timings without exceptions. - Tallying of cheques r...
-Source (Careerjet)

O 87 Authoriser WBO

Job Description - A. - Clearing Operations: Inward Clearing: Authorise all Inward clearing instruments within the cut-off timings without exceptions. - Tallying of cheques received verification and authorization of entries. - Book receivable or payables under intimation to the unit-in-charge. - Handling of Returns and Referrals: Identify and return eligible cheques to the presenting bank. - Raise referrals for cheques as applicable including Co-operative Bank cheques and follow-up. - Maintain cheques return register and other records. - To ensure timely processing of all cheques within the cut off time and return the same within the permissible time. - Outward Clearing: Authorisation of all outward clearing entries within the cut-off timings without exception. - Verification and authorization of all entries before presentation in outward clearing. - Ensure inward returns and ensure Nil exceptions. - Co-operative Bank Cheques: Authorisation of Co-operative Bank funding sheets and val
-Source (Mitula)

Authoriser WBO | OA 4

Job Description A. Clearing Operations: Inward Clearing: Authorise all Inward clearing instruments within the cut-off timings without exceptions. Tallying of cheques received verification and authorization of entries. Book receivable or payables under intimation to the unit-in-charge. Handling of Returns and Referrals: Identify and return eligible cheques to the presenting bank. Raise referrals for cheques as applicable including Co-operative Bank cheques and follow-up. Maintain cheques return register and other records. To ensure timely processing of all cheques within the cut off time and return the same within the permissible time. Outward Clearing: Authorisation of all outward clearing entries within the cut-off timings without exception. Verification and authorization of all entries before presentation in outward clearing. Ensure inward returns and ensure Nil exceptions. Co-operative Bank Cheques: Authorisation of Co-operative Bank funding sheets and validation of Co-operative
-Source (Mitula)

Authoriser

Job Description A Clearing Operations Inward Clearing Authorise all Inward clearing instruments within the cut off timings without exceptions Tallying of cheques received verification and authorization of entries Book receivable or payables under intimation to the unit in charge Handling of Returns and Referrals Identify and return eligible cheques to the presenting bank Raise referrals for cheques as applicable including Co operative Bank cheques and follow up Maintain cheques return register a
-Source (Mitula)

Authoriser - GLO

HDFC Bank - Basoda, Madhya Pradesh - Job Description Loan against Gold Jewelry operations Loan Application Form checking as per laid down guidelines. Know Your Customer checking as per banks KYC Policy. To conduct ...
-Source (Careerjet)

Authoriser GLO G246

Job Description Loan against Gold Jewelry operations Loan Application Form checking as per laid down guidelines. Know Your Customer checking as per banks KYC Policy. To conduct sample checking & valuation of jewelry by valuer. Ensure proper inputting of data in Loan Origination System. To generate repayment schedule and payment detail updation as per Straight Through Process/Non-Straight through Process. Proper storage of Gold packet as per defined guidelines. To manage all vouchers and records as per laid down guidelines. Timely processing of all records in the RMS/Archival system as per laid down guidelines. To liaise with Record management Agency for storage/retrieval of records. To ensure system Security Investigate customer complaints and analyze, send response and resolve the same under intimation to seniors. Liaison with internal customers for resolution of issues. Suspense/General Ledger accounts monitoring. Store all security documents, instruments, etc. in FRFC under dual cus
-Source (Mitula)

Branch Ops Manager WBO | [TV600]

Clearing Operations: Ensuring that both Inward and Outward Clearing is managed within the cut-off timings and without exceptions. Ensuring that there are no Outward Counter Returns which might cause exposure to the Bank. Ensuring that all the returns are posted and Value Date is released timely every day. At CTS locations, ensure proper technical verification of Outward Clearing Cheques is in place. Monitor the movement of staff attending P2F (Paper to Follow) sessions. Ensure to conduct Clearing house at regular intervals at BCP centers. Monitoring CTS vendor Outsourcing Processing Nostro account and Suspense accounts monitoring: Daily reconciliation of Nostro accounts. Management of Clearing Funds and maintaining Nostro account balances below prescribed limits. Monitor all Suspense Accounts and maintain the registers. Fortnightly reporting of suspense/Monthly Nostro accounts after due verification and with relevant details. Safe-custody of Nostro account cheques and judicious use o
-Source (Mitula)

Branch Ops Manager WBO | [TV600]

Clearing Operations: Ensuring that both Inward and Outward Clearing is managed within the cut-off timings and without exceptions. Ensuring that there are no Outward Counter Returns which might cause exposure to the Bank. Ensuring that all the returns are posted and Value Date is released timely every day. At CTS locations, ensure proper technical verification of Outward Clearing Cheques is in place. Monitor the movement of staff attending P2F (Paper to Follow) sessions. Ensure to conduct Clearing house at regular intervals at BCP centers. Monitoring CTS vendor Outsourcing Processing Nostro account and Suspense accounts monitoring: Daily reconciliation of Nostro accounts. Management of Clearing Funds and maintaining Nostro account balances below prescribed limits. Monitor all Suspense Accounts and maintain the registers. Fortnightly reporting of suspense/Monthly Nostro accounts after due verification and with relevant details. Safe-custody of Nostro account cheques and judicious use o
-Source (Mitula)

Branch Ops Manager WBO | [TV600]

Clearing Operations: Ensuring that both Inward and Outward Clearing is managed within the cut-off timings and without exceptions. Ensuring that there are no Outward Counter Returns which might cause exposure to the Bank. Ensuring that all the returns are posted and Value Date is released timely every day. At CTS locations, ensure proper technical verification of Outward Clearing Cheques is in place. Monitor the movement of staff attending P2F (Paper to Follow) sessions. Ensure to conduct Clearing house at regular intervals at BCP centers. Monitoring CTS vendor Outsourcing Processing Nostro account and Suspense accounts monitoring: Daily reconciliation of Nostro accounts. Management of Clearing Funds and maintaining Nostro account balances below prescribed limits. Monitor all Suspense Accounts and maintain the registers. Fortnightly reporting of suspense/Monthly Nostro accounts after due verification and with relevant details. Safe-custody of Nostro account cheques and judicious use o
-Source (Mitula)
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