•Evaluating income position of the branches submitted on weekly & monthly basis for financial ratio analysis.
•Analyzing non performing portfolios of the branches on weekly basis and highlighting portfolio exposed to risk.
•Reviewing fortnightly & monthly bank reconciliations of branches to verify accounts and balances reported.
•Weekly & monthly e-filing of the Income Tax.
•Budgeting and monitoring of branches Income-expenses variances & loan portfolio management. Annual budget preparation.
•Facilitating branch managers, operation in-charges and area coordinators in financial reporting and policies.
•Managing compliance with Internal/External Audit policies & prudential re...