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 MCB BANK PAKISTAN
           12th July 2013 – Present
      Position: Working As Grade IV / Teller Services Officer (tso)
    Job Responsibilities

  • Receiving of Cheques over cash counter for payments.
  • Posting of Cheques, payment orders, demand draft.
  • Verification of signatures.
  • Receiving the Utility Bills
  • Sorting Cash according to Sbp rules.
  • Cash payments & Cash receipts.
  • Online cash receipts & payments.
  • Handling and maintenance of cash in hand.
  • Preparation of all necessary vouchers.
  • Preparation of cash sheet.
  • Payments of Home Remittance.
  • Posting of CMDs
  • Maintaining Fresh cash registers
  • Backup to ATM inchrage.
  • Maintain the ATM records
  • Daily balancing of ATM Cash
  • Internal Transfer 
  • Any other assignment given by the manager.


  The Bank of Punjab
           29th April 2009 – July 11, 2013
Position: Working As Grade III BSA/Backup Cash officer/ Clearing Dept
    Job Responsibilities

  • Starting of Bop Main Server & Policy Server.
  • Day Start Entries and making Branch Status Online.
  • Manage e-mail of the branch users as on Outlook.
  • Daily backup of all Staff.
  • Monitoring of CCTV cameras.
  • Taking backing Of CCTV cameras. 
  • Sharing Rites, Security Rites & Policy on users.
  • Provide Hardware & Software Support of Domain Users
  • Update the Bop 2001 Software.
  • Day End Steps & 3 Routine Backups of Branch Working.
  • Month end, Quarter End, Half year And Yearly End Steps.
  • Managing Branch Working Sheets (z409005, z409008, z409009, z409012, z409076, z409081 etc.)
  • Download Hardware Drivers from internet
  • Receiving of Cheques over cash counter for payments.
  • Posting of Cheques, payment orders, demand draft.
  • Verification of signatures.
  • Cash payments & Cash receipts.
  • Online cash receipts & payments.
  • Handling and maintenance of cash in hand.
  • Preparation of all necessary vouchers.
  • Preparation of cash sheet.
  • Clearing Inward & Outward., LBC’S & OBC’S
  • Internal transfers.
  • Handling Cheque books & Atm Card.
  • Payments of Home Remittance (western Union, Xpress Money, Aftab Currency Etc.)
  • Any other assignment given by the manager.


Cure MD Pakistan Pvt .Ltd 
           1st Jan 2009 – 30th April 2009
             Position:  Working As Assistant Billing Executive
             Job Responsibilities:

  • Working as a billing executive in practice of ECM (East Chester medical)
  • Posting of data of patients in software
  • Follow up the pending claims
  • Making calls to insurance companies for claim status
  • Solving the Doctors & patients Queries
  • Posting the claims payments in system
  • Sending the claims to insurance companies
  • Marking of denial claims
  • Making weekly/monthly/yearly reports
  • Achieving the Companies targets
  • Any other assignment given by the Supervisor or Manager.


The Bank of Punjab
           7th Sep 2008 – Nov 7, 2008
              Position: Working As Internee
    Job Responsibilities

  • Working as an internee during this time