Roles and Responsibilities
1.Payout calculation of FST
2.Payout calculation of Deep Affordable FST
3.Payout calculation of Manager DSA /DMA sales
4.Coordination with Branches for payout finalisation
5.Monitoring of Unencashed cheque payouts
6.Recovery of payouts in event of cancellation
7.Reconciliation of Payout in case of queries branches/Vendor / Partners
8.Query resolution in payout
9.Bank reconciliation of Payout bank account
10.VMS development for SPLB and monitoring of payout approvals
11.Invoice generation wherever applicable
12.Monthly provisioning for payouts
Keyskills: NBFC Finance Banking Operations Query Resolution Bank Reconciliation