Reputable Financial Institution Banking Jobs in Kumasi
1. Patiently scroll down and read the job description below.
2. Scroll down and find how to apply or mode of application for this job after the job description.
3. Carefully follow the instructions on how to apply.
4. Always apply for a job by attaching CV with a Cover Letter / Application Letter.
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A well-established financial institution in Kumasi, Ashanti Region is searching for competent, result-oriented and energetic personnel to join its team in the following job categories.
BRANCH OPERATION OFFICERS
Duties/ Responsibilities (Job Code: Br -0/21)
- Responsible for onboarding of customers
- Ensure customer relationship banking
- Ensures vigorous marketing of products and services
- Undertake banking advisory services for customers
- Prepares fixed deposits/standing orders
- Undertake data entries / data capture
- Ensures prudent management of treasury and cash analysis
- Reconciliation of inWrebranch transactions
- Responsible for counter cheque issuance and cheque for clearing
- Ensures effective funds transfers protocols
- Undertake due diligence in credit approvals and documentation
- Prepare and submit prudential reports within specified timelines
- Documentation oftransactions and data management
- Assist with the supervision of Branch Staff
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1. Patiently scroll down and read the job description below.
2. Scroll down and find how to apply or mode of application for this job after the job description.
3. Carefully follow the instructions on how to apply.
4. Always apply for a job by attaching CV with a Cover Letter / Application Letter.
-->
A well-established financial institution in Kumasi, Ashanti Region is searching for competent, result-oriented and energetic personnel to join its team in the following job categories.
BRANCH OPERATION OFFICERS
Duties/ Responsibilities (Job Code: Br -0/21)
- Responsible for onboarding of customers
- Ensure customer relationship banking
- Ensures vigorous marketing of products and services
- Undertake banking advisory services for customers
- Prepares fixed deposits/standing orders
- Undertake data entries / data capture
- Ensures prudent management of treasury and cash analysis
- Reconciliation of inWrebranch transactions
- Responsible for counter cheque issuance and cheque for clearing
- Ensures effective funds transfers protocols
- Undertake due diligence in credit approvals and documentation
- Prepare and submit prudential reports within specified timelines
- Documentation oftransactions and data management
- Assist with the supervision of Branch Staff
ADVERTISEMENT - CONTINUE READING BELOW
ADVERTISEMENT - CONTINUE BELOW TO APPLY
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