National Bank of Pakistan NBP

National Bank of Pakistan NBP

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"The Nation's Bank", National Bank of Pakistan aims to support the financial well- being of the Nation along with enabling sustainable growth and inclusive development through its wide local and international network of branches. Being one of the leading and largest banks of Pakistan, National Bank of Pakistan is contributing significantly towards socioeconomic growth in the country with an objective to transform the institution into a future-fit, agile and sustainable Bank. In line with our strategy, the Bank is looking for highly motivated, confident, and career-oriented individuals in the area of Operations Group. Candidates meeting the following eligibility criteria are invited to apply with confidence;


 TELLER (OG-III)

EDUCATION/ QUALIFICATION

Minimum Graduation or equivalent from a local or international university/college/institute recognized by the HEC

AGE

Maximum 32 years (as on last date of submission of application)

EXPERIENCE

Minimum 01-year banking experience out of which minimum 06 months of Teller experience

OTHER KNOWLEDGE/ COMPETENCIES REQUIRED

Knowledge:

Branch Banking Operations

SBP regulations for cash management


Competencies:

Strong understanding of branch banking operations Excellent communication skills Computer skills, especially proficiency in MIS Office Teamwork Good customer handling skills

OUTLINE OF MAIN DUTIES/ RESPONSIBILITIES

·  To receive cash from Branch Operations Supervisor / Branch Operations Manager, record denominations for cashier/sorting functions, request for additional cash as and when required till close of business hours

· To provide account services to customer(s) by receiving deposits and withdrawals in customer account

·  To facilitate remittance, various utility bills collection, Government receipts/payments and agency-based collection

· To ensure effective vault management and holding of cash keys as per Bank SOP

· To forward cheque(s) beyond assigned limit to Branch Operations Supervisor/Branch Operations Manager for authorization and disbursement (PKR & FCY) cash only after posting of cheque in the system

·To count & sort cash as per SBP directives and match with the details of deposit slip, enter details in the system, credit customer's account and forward deposit slip beyond assigned limit to Branch Operations Supervisor/Branch Operations Manager for authorization and return the carbon copy of the deposit slip to the depositor

· To receive, check & process Funds Transfer & ATM related transactions & their balancing·

 .To handle customer's request like change of currency notes etc., respond according to the prevailing procedures and guide customer to contact the concerned staff in case of any query .

·To maintain highest standards of customer service at all times to ensure zero complaint and handling of customers within Turn Around Time (TAT) To balance / sort cash and preparation of Cash Book and to check cash before day-end with system generated reports and maintenance of related records·

To balance of cash vouchers and posting of all cash related transactions in the system

·To cross-sell bank products by answering queries, informing customers of new services and product promotions, ascertaining customers' needs and directing them to Branch Operations Manager/Branch Manager

·To ensure availability and disbursement of fresh cash over the counters as per SBP directives·

To balance / reconcile sorted, unsorted, re-issuable, defective and new currency notes prior to placing the same in cash vault before end of each working day

·  To identify and immediately inform any unusual or suspicious (STR) cash flow activity to Branch Operations Manager·

To ensure that all related GL Accounts related to cash are periodically reconciled and balanced with actual records

· To responsible for sufficient replenishment of ATM on as and when required basis and also ensure that ATM is functioning uninterruptedly during long weekends and other holidays ..

. To ensure rectification of Audit findings with respect to cash management

. To ensure Shariah Compliance   

.To carry out any other duty assigned by Supervisor


PLACE OF POSTING

·  Abbottabad, Bannu, Gujrat, Gwadar, Jhelum, Mardan, Mirpur AK, Quetta, Rawalpindi, Swat, Vehari

·  Local candidates and domicile holders of the above mentioned areas/ cities will be given preference


> Interested candidates may visit the website www.sidathyder.com.pk/careers and apply online within 10 working days from the date of publication of this advertisement as per given instruction

 >  Candidates should complete all the fields provided on Web Portal and upload their CV, CNIC, Educational documents & Experience Letters (if any) in either Word or PDF format

  > There will be one (1) attachment per tab, size must be less than 5MB per attachment

 >  Information/application received after due date or incomplete/false in nature will result in rejection of the application

     > No TA/DA will be admissible for test/interview

      > Candidates will be evaluated strictly based on the defined eligibility criteria & only shortlisted candidates will be contacted

     >Selection of final candidates will be based on defined criteria and assessment process defined by the Bank

    > Bank reserves the right to reject or accept any applicant's suitability to meet the vacant position

   > The employment will be on contractual basis for 03 years which may be renewed on discretion of the Management.In case of selection, candidates will be required to serve at their initial place of posting for a minimum period of three years and no request for transfer will be entertained

National Bank of Pakistan NBP


(We are an equal opportunity employer) Women, Minorities and Differently- abled Persons are encouraged to apply

National Bank of Pakistan NBP