MF / EXCHANGE / FD / BONDS TRANSACTION PROCESSING- ACCEPTANCE, AUDIT, ENTRY, SCANNING AND REJECTION MARKING.
TRANSACTION ENTRY IN SYSTEM, DAILY UPLOADING, SCANNING OF APPLICATION, ETC.
ACKNOWLEDGMENT COLLECTION AND SCANNING (MF & FD)
ASSISTING TRANSACTION DEPARTMENT IN UPDATING PENDING TARs.
NJ ACCOUNT REGISTRATION (TADA & PMS). FOLLOW-UP FOR PENDING REGISTRATION.
COURIER MANAGEMENT, MAINTAINING BRANCH EXPENSES, MAINTAINING PETTY CASH & DAILY UPLOADING.
ASSISTING NJCC IN QUERY SOLVING. LOCAL REJECTION MARKING, ASSISTING NJ CC IN QUERY SOLVING.
MAINTAINING NON FINANCIAL TRANSACTION.
OFFICE ADMINISTRATION, ASSISTING PARTNERS, SALES SUPPORT.