Operations Team Member-OPS-Clearing Operations at Kotak Mahindra Bank
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Full Time


Start Date

Immediate

Expiry Date

18 Dec, 25

Salary

0.0

Posted On

19 Sep, 25

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Cheque Processing, Data Entry, Record Management, Reconciliation, Verification, MIS Reporting, Email Tracking, Scanning, Stamp Affixing, Returns Management, Technical Referrals, Credit Card Processing, Signature Verification, Outward Returns, Inward Returns, P2F Tracking

Industry

Banking

Description
Clearing Operations Grade:M1/M2 Job Description: OCR Register Updation Description for Internal Candidates Acceptance of Cheques from the Branches / couriers. Scanning of Cheques Data entry of cheques for ATM Drop Box Cheques / PND/ PNR/JV Cheques Pull Out P2F / Unprocess Cheques / Outward Returns Returns Memo attachment / Despatches to the customers RTO Cheques Receipt and Data entry Acceptance of processed Cheques from the Hub's in the Location Attending P2F House Affixing Stamp for Return cheques (Defasing) Inward file Preparations Supporting Bank Officers in Reconciliation Email Tacking for inward cheques Uploading of Technical Referrals Level 2 Verification JV Authrorisation in finacle HOCDL Verification Unprocessed Che-ques Scrutiny and Sharing MIS to the Branches Identified of PNR Transactions MIS to be shared with Branches Record Management Outward Returns Management RTO Management Transfer Cheques Processing Credit Card Cheque Processing P2F Tracking and Reconsilaition ASBA Application Signature Verification Inward and Outward Return Processing
Responsibilities
The Operations Team Member will be responsible for various tasks related to clearing operations, including cheque acceptance, scanning, data entry, and returns management. They will also support bank officers in reconciliation and manage inward and outward returns.
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