Mary Manahan

Senior Teller at International Bank of Qatar (IBQ)
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Contact Information
us****@****om
(386) 825-5501
Location
Qatar, QA
Languages
  • English -

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Experience

    • Qatar
    • Banking
    • 100 - 200 Employee
    • Senior Teller
      • Jan 2017 - Present

    • Corporate Teller
      • Apr 2014 - Present

    • Marketing Assistant
      • Sep 2011 - May 2013

      Ensure the promotion and offering the complete range of products/ services that the customer needs. Promote clarity in expressing ideas, relaying information or instructions and carrying out resolutions on time. Promotes harmonious work interaction among peers and external clients. Performs account opening/ closing and atm linking for walk in clients and existing clients. Handles cash transactions, bank investments such as time deposits, investment management account and unit of investment trust funds. Show less

    • Junior New Accounts Teller
      • May 2008 - Aug 2011

      Ensure customer satisfaction at all times by providing cash services in the most expeditious manner. Process transactions such as cash, checks, remittance requests, credit card and loan payments in compliance with the approved policies and procedures. Carry out branch cash and other teller- related transactions in a timely manner and efficient manner to facilitate achievement of pre-approved branch targets.Balance currency, coins and checks and prepare the requisite report at the end of the day.

    • Accounting Assistant
      • Jul 2005 - Apr 2008

      Passes complete and accurate GL entries. Passes reversal entries for clearing, tempo and research accounts. Prepare, verify completeness and submit all accounting reports due daily, weekly, monthly, quarterly and on other deadlines. File reports and other records completely and ensure that these are readily available at all times.Reviews thoroughly negotiability of checks. Partial encoding and transmission of checks from time to time. Batches sent successfully to PCHC before cut off time. Ensures/ checks completeness and validity of all source documents. Daily end of day balancing. Tally cost of accountable forms/ supplies per inventory with Trial Balances. Review validity of movements and balances of GL accounts. Responsible for accurate computation of interest paid and taxes. Reconciliation of accounts. Dual controls for Cash Vaults access and movements. Dual controls for cash loading/retrieval from ATM. Daily back up done after branch closing. Show less

Education

  • Polytechnic University of the Philippines
    Bachelor of Science (BS), Accounting
    1999 - 2004

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