Operations Team Member-OPS-CMS Operations at Kotak Mahindra Bank
, , -
Full Time


Start Date

Immediate

Expiry Date

24 Dec, 25

Salary

0.0

Posted On

25 Sep, 25

Experience

2 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Cheque Verification, Co-ordination, MIS Maintenance, Vendor Management, Return Processing, Dispatch Coordination, Audit Handling, Compliance, Communication Skills, Ms Office, Excel, NI Act Knowledge, CTS Guidelines, Team Handling, Accounting Entries

Industry

Banking

Description
Team Member – Clearing Operations (Authorizer) :- Inward and Outward Cheque verification in vendor system. Co-ordination with branches/inter departments and other banks for handling queries and settlements. Physical cheques checking with HOCDL report. Transfer cheque processing. Maintaining daily MIS Coordinating with Vendor and record management team Inward & Outward returns processing. Outward cheque return dispatch and coordinating with branch and courier agencies. Managing RTO from courier. IPO ASBA application processing and sign verification. (M2/M3) Monitoring payee name differ and resolving branch queries (M2/M3) Accounting entries in Finacle. (M2/M3) Should have at least 3-5 year experience in operations. (M2/M3) Should have experience in team handling and vendor agency coordination. (M2/M3) Good communication skills. Knowledge of Ms Office/Excel (V-look up) will be an added advantage. Should be proficient in NI act and CTS guidelines. (M2/M3) Should be able to handle audit and compliance for the Location. (M2/M3)
Responsibilities
The Operations Team Member will be responsible for inward and outward cheque verification, coordinating with branches and other banks for queries and settlements, and maintaining daily MIS. Additional duties include processing IPO ASBA applications, managing returns, and ensuring compliance with audit requirements.
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