Software Development & Testing
Innernet, Inc.
مجموع سنوات الخبرة :18 years, 8 أشهر
Communicate with product analyst in creating acceptance tests as part of the requirements, and execute those tests manually, as well as automate them.
Gain a technical and functional understanding of product architecture and as a Quality Assurance Analyst, become part of ongoing feature and enhancement development effort.
Handling RTGS (Real Time Gross Settlement) transactions and their proceedings through Electronic File Transfer System;
Account management of international correspondents and our agents in coordination with Treasury;
Process home remittance transactions using Misys Banking Software “Equation 3.8.2”;
Provide all kinds of MIS of fund transfer and clearing to internal auditors and compliance department for onward submission to central bank and regulatory authorities on daily and required basis;
Authorized to download transaction files from SFTP Server of overseas tie-ups and ensure availability of funds to process the transactions;
Check and authorize uploading of file (Annexure -B format) to beneficiary bank SFTP server;
Ensure strict compliance of all SBP (State Bank of Pakistan) rules & regulations including KYC (Know Your Customer) and AML (Anti Money Laundering);
Reconciliation of daily paid / unpaid transaction against funds;
Manage all kinds of instruments for fund transfer & authorize transfer of funds through IBFT;
Query management and follow up with branches and other banks for ensuring payments to beneficiary;
To provide data for HR SBP Rebate Claim as per SBP format (SR-25); and
Performing role as a key person in all kinds of UAT (User Acceptance Testing) related to domestic and international fund transfer system. Following UAT has been performed:
• Home Remittance Payments (Cash Payment Data file upload)
• CPU Bulk Processing - To mark bulk entries for funds transfer
• Enway (Home Remittance product of M/s Emmaculate - for uploading files for other banks cash over counter payments and PRI generation for Bank Deposit payments)
• Enway Remit (Home Remittance product of M/s Emmaculate - for our tie-ups- with IBFT)
• KASB Remit - for sending SMS on processing / availability / collection of Home Remittance Payment.
Previous Responsibilities:
CLEARING:
Scrutiny of physical instruments;
Processing Inward / outward Clearing using Misys Banking Software “Equation 3.8.2";
Responsible for composing daily cheque return sheet and debit inward cheque return charges;
Maintain branch wise MIS of NIFT monthly bills and provide to Finance Division;
Scanning all clearing instruments and responsible to provide as per query;
Preparation of clearing figures of all branches in Karachi.
Worked as part time Instructor of MS Windows, Office automation and Computer hardware trouble shooting.
Worked as a member of Admin department.
Responsibilities:
Composing and keeping record of all official letters, e-mails, staff personal files and other documents.
Making staff monthly salary sheet and maintaining all bank stuff related to organization's bank account.
Responsible for maintaining all correspondence related to Board of Secondary Education Karachi.
Compose students' ID cards, Certificates, Daily report of Students’ & Staff Attendance.
Checking daily School Fee statement, defaulter list and maintaining students’ progress statistics.
• MBA - Banking and Finance from Muhammad Ali Jinnah University Karachi.
• Bachelor in Commerce in 2009 from Govt. College of Commerce and Economics II with 1st Division.
• Intermediate (Pre-Engineering) in 2007 from Board of Intermediate Education Karachi with B Grade.
• Matriculation (Computer Science) in 2005 from Board of Secondary Education Karachi with A Grade.