Professional Resume - Mint International

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ADNAN SHAUKAT KHAN
L-513, Sector 5-C/2,
North Karachi,
Karachi – 75850, Pakistan
Res:
Office
Cell:
+92 213 6908298
+92 213 2204011
+92 345 3056697
+92 312 2849001
E-mail: adnansk1982@gmail.com
adnanshaukat.khan@hbl.com
OBJECTIVE
To lead or join a dynamic team, which will help me in reshaping my existing skills & capabilities, I intend to work
and learn to the maximum.
PROFESSIONAL SUMMARY
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Performance driven, insightful Banker with 07 years of banking experience & proven ability to achieve
targets & goals
Excelled within highly competitive environments where leadership skills are key to success and progressive
growth.
An ambitious individual with a good communication and interpersonal skills, able to work under tight
deadline.
Always protect the bank against transaction related risks and ensure high level of customer satisfaction
through combination of individual care and a well coordinated team work.
PROFESSIONAL EXPERIENCE
1)
Currently working as an Assistant Manager – II in HABIB BANK LIMITED, Corporate Sub Center - KPT since
August 2005.
 RECONCILIATION DEPARTMENT – Since December 2008 to date
Working as an Incharge in Pension Reconciliation Department:
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Responsibilities:
Reconciliation of KPT Pension Routing Account.
Checking all pension bills which paid by our all over Pakistan Branches.
Report to Manager & Manager Operation for HOK regarding monthly outstanding bills.
Correspondence & communicate to all over Pakistan Branches.
Handle & resolve the issues regarding KPT Pension.
 OPERATIONS – (Different periods)
Worked in various Departments details are as under:
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CASH:
Main Cash Vault.
Receipts & Payments (Posting & balancing, online transactions etc).
Utility bills (Posting & balancing etc).
Cash received & payment to CFC.
Insurance covered of Limit Excess Cash.
Maintain NPB GL & Register.
Maintain Cash Book.
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ATM:
Cash feeding, Physical Balancing, Supplies, Card capture etc.
Balancing ATM GL & Excess GL.
Co-ordination with HOK for different issues regarding ATM.
Resolve claim issues from customers.
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REMITTANCE:
Issue Bankers Cheques.
Cancellation of Bankers Cheques
Local Fund Transfers (LFT).
Fast Cash payment.
Home Remittance.
Maintain Bankers Cheques leaves in Register.
Maintain & Update of Power of Attorney files & Circulars.
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PENSION:
Payment KPT Ex-employee’s Pension / BF of every month.
Posting, Scrutiny & Balancing.
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CLEARING:
Inward / Outward clearing (Posting & balancing as per Mysis system).
Same day / Inter-city clearing.
Fund transfers.
Online cheques deposits.
Stop payment.
Standing instructions.
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HR (Branch level):
Maintain staffs leave record register / files.
Maintain staffs medical register.
Co-ordination with HOK for staffs different issues.
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ACCOUNT OPENING:
Scrutiny of Account Opening Forms.
Posting with new option in Mysis system.
Maintain AOF Register.
SS Cards
CNIC Verification from HOK
KYC
Issuance of Cheque books
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FINCON DEPARTMENT
Prepare & report to Manager daily position of Branch Deposits
Prepare & report to Head Office weekly position of Deposits / Advances
Check daily Vouchers of all departments with Transactions List
Print Statements / Advices for KPT & other customers
Check General Ledger (Daily / Monthly)
Check Profit & Loss Statement (Daily / Monthly)
Check all types of statements (i.e. TRF, TDR, ATM, IBTS, Account type wise reports etc.)
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OTHERS:
KPT employee’s salary, over time & bonus.
IT Issues.
Statement of customer’s accounts.
Issuance of Balance / Account maintains Certificates.
Prepare Bank confirmation certificates received from Audit firms directly.
Holding security Keys (Cash Vault, ATM etc).
 IMPORT & EXPORT TERMINAL, KPT (BOOTH) – Since August 2005 to September 2007
As an Officiating Incharge:
Worked as an Officiating Incharge at HBL, KPT Import / Export Terminal in absence of Incharge
Clearing:
Receiving KPT Port Dues against clearing instruments timely posting balancing & reconcile PAK Accounts in
MISYS System (Outward, Inward, Intercity, & Same day clearing).
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2)
FARUQ ALI & CO., Chartered Accountants as Computer Operator since October 2000 to June 2004
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Responsibilities:
Compile all audited accounts in data base.
Prepare audited Financial Statements of all clients.
Correspondence with clients and handle the official matters.
Resolve all IT Issues
PROFESSIONAL TRAININGS / COURSES
1)
Operation Officers Training Program from HABIB BANK LIMITED,
held at Management Development Institute (MDI), Karachi
Management & Organization Development Division, Head Office, Karachi
Course Details
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2)
Habib Bank (The Bank)
Basic Banking Laws & Practice
HBL Accounting System
Deposits
Remittances
Collection
Cash Handling & Operation
Customer Care
KYC / Anti Money Laundering from Habib Bank Limited,
held at Management Development Institute (MDI), Karachi
Management & Organization Development Division, HR & Organization Development Group
PROFESSIONAL QUALIFICATION
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Master in Business Administration (MBA) - 2010
(Banking & Finance)
3.24 CGPA
Dadabhoy Institute of Higher Education (North Nazimabad Campus)
ACADEMIC QUALIFICATION
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M.A. (Economics & Finance) – University of Karachi - 2006
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Bachelor of Commerce - University of Karachi – 2003
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Intermediate Commerce - Board of Intermediate Education, Karachi – 2000
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Matriculation Science - Board of Secondary Education, Karachi – 1998
PROFESSIONAL / COMPUTER SKILLS
1)
”MISYS” Banking Software from Habib Bank Limited,
held at Management Development Institute (MDI), Karachi
Management & Organization Development Division, Head Office, Karachi
2)
SBP – Foreign Exchange Returns
Banking Software of Foreign Exchange Return (Import / Export)
from Habib Bank Limited, held at Management Development Institute (MDI), Karachi
Management & Organization Development Division, HR & Organization Development Group
3)
Office Package from Computer House Software Training, North Karachi, Karachi in 2000
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OTHER COURSES
English Language Proficiency Course from Student Guidance, Counseling, and Placement Bureau,
University of Karachi
REWARDS & ACHIEVEMENTS
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Cash Reward for Best Performance for the year 2010 from HBL.
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Performance Rating “A” for the year 2010
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Cash Reward for Best Performance in very first year after permanent in 2007 from Habib Bank Limited.
PERSONAL
Father's Name
M. Shaukat Ali Khan
Date of Birth
25th July 1982
Marital Status
Married
Religion
Islam
Nationality
Pakistani
CNIC No.
42101-0994911-5
Domicile
Sindh (Karachi)
Passport No.
LC4119111
REFERENCE
Will be furnished if required
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