FCMB Investment Banking Group
July 2009 - April 2011 (1 year 10 months)
City Securities Limited (Stockbrokers)
Primrose Tower, 17A Tinubu Street, Lagos.
(Operations/Settlement Unit) Feb - April 2011
- Reviewing and reconciliation of intercompany items
- Adoption of bank correspondence
- Effecting statutory payments and reconciliation of statutory in house accounts
- Effecting and correction of necessary entries in clients’ accounts
- Effecting all month end transactions relating to the organization
- Recognition and accounting for offshore charges and income.
- Effecting cheque payment & other operational processes including branch payments and transfers.
- Uploading of Daily Trades into the System.
(Contact Center/Customer Service Unit) Sept 2010 - Jan 2011
- Attending to clients/Customers enquires.
- Reaching out to client/customers to pass information necessary
- Addressing client’s complaint on certificate submission, sales& purchase of shares
- Releasing of cheques to clients
(Processor-Verification Unit) July 2009-Sept 2010
- Covering and printing of CDF on Symbols for verification processing.
- Handle downloading / uploading of dematerialized certificates from CSCS site into Symbols.
- Updating of acknowledged CDF from various Registrars on Symbols
- Updating of returned certificates (Irregulars) from various Registrars on Symbols.
- Liaise with not less than 5 branches on certificates sent for e-verification.
- Customer relations & Channels liaison Supervision.