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100% double checking of cases for more than particular amount (as agreed) for all products.
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Reviewing the cases to ensure that all product parameters and policy criteria are met.
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Posting financial transactions based on approved documents to complete the disbursement / maintenance.
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Checking all types of reports on daily basis to ensure all transactions have been passed against the proper documents.
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Ensuring that all documents against disbursed cases have been checked and archived as per bank policies
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Conducting proper checking of all lending products in compliance with the disbursement instruction while reviewing cases on an online basis.
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Posting transactions and ensuring that they are made through vouchers with appropriate supporting document which are prepared and duly approved concerning all lending products.
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Execute all post disbursement maintenance activities (e.g. early settlement, rescheduling, write-offs, due date changes, reversal of transactions) for all lending products, while ensuring compliance within approved charter of authorities and ensuring risk-oriented issues are escalated to the Team leader.
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Booking of all lending products, overdrafts, etc. in compliance with the disbursement instructions.
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Establishing authenticity of the information provided and ensuring that no case passes fraudulently.
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Re-analyzing of all cases above a particular amount within one business day and reporting the results to the Team Leader.
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To highlight the repetitive mistakes done by evaluators to the Team Leader who will put action plan to minimize the errors.
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Accept disbursal of approved loans within the delegated limits.
- Accept the credit approvals on the basis of the checks conducted within the delegated limits of the policy and product parameters.