Deposit mobilization, promoting and selling of all the Bank’s products.
Credits packaging and monitoring, writing of Advance Payment Guarantee (APG), Bid Bonds and other credit related facilities.
Processing of Form A, Form M and other forms of transfers as may be requested by the customers.
Attending to customer’s complaints and other needs as soon as possible.
Processing of Personal Loans, Auto Loans, and other forms of loan facilities as may be requested by the customers.
Reactivation of dormant Accounts, wining of new ones and maintenance of a high level of customer’s service relationship.
Assisting customers to make the best investment decisions.
Performance of other forms of banking operational services etc.
Preparation of all types of Accounts using Quick Books Pro, Peachtree Accounting Software’s and observing the Accounting principles and guidelines.
Reconciliations of bank statements, vouching, vetting, Staff payroll, and settlement of contract payments and other expenditures.
Ensuring projects analyses, costing, financing, procurements and executions
Preparations of budget on weekly, monthly and on quarterly basics