finance reconciliation officer
GUARANTY TRUST BANK PLC
Total years of experience :11 years, 11 Months
Processng FX transfer instructions received through theFTR Portal, Internet banking.
Ensure prompt reconciliation of al nostro accounts and internal ledgers.
Carry out daily reconcilationof the bank’s accounts.
Promote efficient customer service through prompt transacton processing within agreed
SLA timelines
Ensure prompt resolution of all customer complaints.
Ensure adherence to Standard Operating Procedure (SOP) in the processing of FX
transactions.
Participate in the units’ monthly internal audt.
Posting of instructions on BASIS and FINACLE (banking software).
Preparation of Swift messages
I did a project Titled: POLITICS AND ADMINISTRATION OF RESOURCES CONTROL. (A CASE STUDY OF NIGER DELTA EXPERIENCE)
I did a Project titled: THE IMPACT OF AUDIT APPLICATION IN NIGERIA BANKING INDUSTRIES. (A CASE STUDY OF FIRST BANK, NIGERIA PLC)
PROJECT TOPIC: NEW PRODUCT DEVELOPMENT AND IMPACT ON COMMERCIAL BANKS PERFORMANCE IN NIGERIA (A CASE STUDY OF AFRIBANK NIG. PLC)