LIJO PHILIPOSE

Branch Manager at Lari Exchange
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Contact Information
us****@****om
(386) 825-5501
Location
AE

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Credentials

  • APTECH
    ApTec
    Mar, 2001
    - Nov, 2024

Experience

    • United Arab Emirates
    • Financial Services
    • 1 - 100 Employee
    • Branch Manager
      • May 2015 - Present

    • Financial Services
    • 200 - 300 Employee
    • OPERATION EXECUTIVE
      • Jul 2013 - Feb 2014

      As Operation Executive • To Handle all the Cash for Gold loan activities • Money transfer from international clients and agents Mainly by (western union,Money Gram, Transfastetc) . • Branch journal report , Interest collection accounting • Foriegn Exchange currencies in return providing INR • Accounts Payable and receivable. • Providing Foreign ticket and UAE visa for the customers. • Foreign currencies auditing and reporting to the central office on daily basis. • Foreign exchange currencies cash handling and providing the En-cashment certificate informing the client for the current exchange rates being offered for various foreign currencies cash payment and voucher listing • Cash tallying with cashier scroll , manager scroll and vault. • End of the day reports for the New loan advancing ,cash book,interest collection gold loan scheme targets Show less

    • United Arab Emirates
    • Banking
    • 700 & Above Employee
    • Sales Executive
      • Feb 2013 - Apr 2013

      CREDIT CARD SALES CREDIT CARD SALES

    • India
    • Banking
    • 700 & Above Employee
    • ASSISTANT MANAGER
      • Jul 2011 - Jan 2013

      As Assistant Manager (Cash And Operation) ROLE AND RESPONSIBILITIES: • To Handle Cash for the branch walkin customer. • Cash handling for the foreign currencies exchange and remittance. • Inward and outward remittances for the NRI Accounts. • Currency conversion for the various currencies brought by the branch walkin customer. • Booking the transactions and delivering best rate from the bank . • Cross sell of all products, services and direct banking channels to walk-in customers to deepen relationships • Providing Travellers Cheque and Travellers card for the Coorporate customer going abroad. • Effective handling of customer queries and complaints. • Ensure accurate compilation of MIS as required by the product team and ops team. • KYC documentation for the Accounts . • Tallying the cash both foriegn as well as Indian Currencies. • Generating the EOD reports end of the day and cross checking the entries done. Show less

    • India
    • Banking
    • 700 & Above Employee
    • bank officer executive
      • Jan 2010 - Jun 2011

      • To provide remittance for cash for the branch walk-in customer. • Provide customer service and product information • Cash handling of Both foreign as well as Indian currencies • Collection of Foreign Currency Cheques • Maintain Current record of banks fund. Record Bank balance on deposit in foreign banks outstanding purchase and sale contracts. • Account Opening – Current account & Saving account/FD • KYC documentations for the accounts newly opening and foreign remittances. • Tallying the cash both foreign as well as Indian Currencies • Generating the EOD reports end of the day and cross checking the entries done. Show less

Education

  • PIONEER INSTITUTE OF PROFESSIONAL STUDIES
    Master of Business Administration - MBA, FINANCIAL ADMINISTRATION; Science; Computer; Math,E.D
    2007 - 2009
  • ST.Thomas college
    Bsc, computer
    2004 - 2006

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