Responsibilities:
1. Process express inward and outward clearing cheques
2. Generate and process express inward referrals to business units/branches
3. Create and process express inward returns
4. Process express returns after end of session
5. Communicate express returns to all business units/ branches
6. Archive of session 9 and 11 reports
Key Performance Indicators
· No Regulatory sanction
· Number of days taken for transactions to reach the GL
· 95% daily clearance of items in suspense accounts
· 100% compliance with documented operational procedures and regulatory controls
· Error rate <1%
· 100% particpation in all the clearing session
Job Competency Requirement
· Operations & Control
· Payment & Settlement
· Relationship Management
· Accounts & Clearing
· Transaction Processing
· Cash Holding Management
· Consumer Lending (Loans)
· Deposits
· FABL Banking Products
· Productivity