Youssef Ali El-Sebaie
Bank Teller at CIB Egypt- Claim this Profile
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English Professional working proficiency
Topline Score
Bio
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Credentials
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Career Certificate in Accounting and Finance
The American University in CairoJul, 2017- Sep, 2024 -
International Computer Drivers License (ICDL,)
Cairo UniversityJul, 2016- Sep, 2024
Experience
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CIB Egypt
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Banking
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700 & Above Employee
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Bank Teller
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Nov 2021 - Present
• Introduce alternative channels to customers to reduce traffic in branches according to bank SOP. • Process all the cash counter transactions accurately in accordance with the set objectives. • Manage the branch's daily cash needs with the Head Teller for better coordination of cash shipments between the branch and central vault. • Investigate thoroughly any differences in balancing and reconciliation of cash and other security items by following the standard process of checking/scrutiny/investigation as outlined in the Branch standard operating procedure manual. • Cross-sell products based on customer potential and needs without affecting their primary work and service standards contributing to the achievement of the branch's KPIs. • Adhere to the bank standards related to the average waiting & serving time in addition to the productivity reports. • Maintain zero cash shortages and excesses at the counter to ensure maximum control of cash balance. • Maintain accurate checking on all end-of-day reports and rectifying highlighted discrepancies to ensure all controls and procedures are adhered to. • Handle customer requests efficiently and raise any problems to the Head Teller/Operation Supervisor to meet customer satisfaction & reach customer delight. • Complies with all relevant CBE regulations, banking laws, AML regulations, and internal CIB policies and code of conduct to maintain CIB’s sound legal position and mitigate any potential risks. Show less
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Right Foods Egypt
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Egypt
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Food Production
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1 - 100 Employee
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Treasury Accountant
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Apr 2021 - Sep 2021
• Monitor daily cash balances and determine cash requirements needed to cover liabilities and payments. • Verify that invoices have been paid on time. • Verify accounts receivable paperwork according to the due date and ensure that all figures match payment information. • Gather and compile all year-end financial data to audit figures and determine various financial trends. • Manage the receipt, banking, and protection of company funds. • Recording journal entries, updating financial statements • Recording Purchasing Order, Good Receipt PO & A/P Invoice • Recording A/P Credit Memo • Recording General Ledger GL • Assistant & supervised with account manager & financial manager. Show less
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National Bank of Egypt (NBE)
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Egypt
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Banking
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700 & Above Employee
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Trainee
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Jul 2017 - Sep 2017
• Interacted with customers professionally to introduce bank's products and achieved the target of prepaid cards • Produces high-quality documents, transactions, and customer-facing needs using a bank's system • Process all the cash counter transactions accurately in accordance with the set objectives. • Cross-sell products based on customer potential and needs without affecting their primary work and service standards contributing to the achievement of the branch's KPIs. • Maintain zero cash shortages and excesses at the counter to ensure maximum control on the cash balance. • Maintain accurate checking on all end-of-day reports and rectifying of highlighted discrepancies to ensure all controls and procedures are adhered to. • Check counterfeit currencies, checks, and identities. Show less
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Education
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Misr University for Science and Technology
Bachelor of Business Administration - BBA, Finance and Investment