Job Summary
Ensure the efficient, accurate, and controlled processing of transactions related to inward/outward clearing cheques and Onus cheques.
Key Responsibilities
- Process inward clearing cheques in Technical Clearing 1 and approve or reject them as necessary.
- Address telephone and email inquiries concerning inward/outward clearing cheques.
- Reconcile paid physical inward clearing cheques with the PS-ECC report.
- Balance inward clearing cheques from PS-ECC against the inward suspense account in Equation daily.
- Efficiently and accurately process return transactions for outward clearing cheques, post-dated cheques, bill discount cheques, and in-house cheques.
- Handle returned outward clearing cheques and perform PRIME postings manually.
- Process non-WPS salaries and WPS payrolls.
- Execute tasks as assigned by the Supervisor or Manager.
- Collaborate with the frontend business team to enhance customer experience.
- Ensure adherence to the approved SOP and maintain agreed TAT with the business.
- Achieve a high level of processing accuracy and ensure staff availability to meet SLAs.
Skills and Education
- Bachelor’s degree or equivalent.
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