SALVADOR CAGUINGIN, Bank Teller

SALVADOR CAGUINGIN

Bank Teller

Emirates NBD

Lieu
Émirats Arabes Unis - Dubaï
Éducation
Baccalauréat, Accounting
Expérience
19 years, 11 Mois

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Expériences professionnelles

Total des années d'expérience :19 years, 11 Mois

Bank Teller à Emirates NBD
  • Émirats Arabes Unis - Dubaï
  • Je travaille ici depuis novembre 2008

Process foreign currency transactions including selling, buying and cross selling. Handles cash deposits and withdrawals.

Cashier/Teller à Al Rostamani International Exchange Co.
  • Émirats Arabes Unis - Dubaï
  • novembre 2007 à octobre 2008

Process foreign currencies exchange transactions. Handles and process Foreign Telegraphic Transfers, Moneygram, Expressmoney and other remittance transactions to different countries. Process issuance, replacement and cancellation of Demand Drafts. Process Cash Advances to cardholders including pay out.

Customer Service Assistant/Bank Teller/Investment Section (Trader) à Equitable PCI Bank (now Banco de Oro)
  • Philippines
  • mars 2004 à juin 2007

Provides effective and efficient service to clients including cash receipts and payments such as deposits, placements, withdrawals and cash encashment. Validates, verifies, cross check all deposits, withdrawals and check encashment against their signature card on file. Process all bill payments transaction. Handles monthly surprise cash count. Alternate person for key combination for all cash vault/safe including ATM and client's Safety Deposit Boxes. Handles cross selling of bank products and services including high value placements for big prospective and non-prospective clients. Process opening of accounts/placements, roll over/termination of trust/treasury products. Process application and issuance of Manager's check/Gift check to clients as well as Demand Drafts. Handles monitoring of clients different placements regarding maturities and earnings monthly, quarterly etc. Handles all control for all files and records of placements. Maintains and safe keep all working supplies and bank accountable forms. Prepares internal correspondence and accountable for all reports with accuracy and efficiency. Reporting of all placements for the day to Head Office for proper approval and earmarking of funds. Handles trading for all clients placements, reporting to bank's trader for earmarking for proper selection of placement. Handles file for all clients bank SOA for request and release. Posting of all journal entries to general ledger for all bank transaction for the day. Monitoring transactions for the day for filing as per audit requirement. Handles keeping of all clients record for all account opening for AML requirement and under Central Bank rule.

Éducation

Baccalauréat, Accounting
  • à Far Eastern University
  • avril 2003

Specialties & Skills

Finance Operations
Banking
Accounting
Excellent in English

Langues

Anglais
Expert

Formation et Diplômes

Attended (Certificat)
Date de la formation:
June 2012
Valide jusqu'à:
June 2012
Attended (Certificat)
Date de la formation:
November 2011
Valide jusqu'à:
November 2011
Attended (Certificat)
Date de la formation:
March 2009
Valide jusqu'à:
March 2009
Attended (Certificat)
Date de la formation:
July 2012
Valide jusqu'à:
July 2012

Loisirs

  • Reading books, surfing the net and going to gym.