1. Disbursement of Business Banking Products like Cash Credit, Letter of Credit, Bank Guarantee, Loan against Property, Loan against Commercial vehicles / equipment, Health Care Finance within defined TAT
2. Verification of loan documents, property documents as per legal opinion, valuation report, compliance of approved terms and conditions.
3. Maintenance of proper records as per defined process
4. Verification of security documents including property documents.
5. Handling of post disbursement activities like stock statement, insurance policies, PDD updation in the systems
6. Attending walk in customers and resolution of customer complaints within TAT / meeting the customer requirements
7. Monitoring and reconciliation open entries of BB Dummy Accounts
8. Maintenance of MIS and reporting from time to time and coordination with CPUs
Leading Private Sector Bank