Accountable for liabilities and assets growth, third‑party revenue, and branch profitability; ensures audit‑ready operations, KYC/AML adherence, and risk control; builds a high‑performing team and deepens relationships with priority customers. • Deliver CASA, TD, loan and TPP
Owns daily branch operations including cash, clearing, account opening, and service requests; ensures strict adherence to KYC/AML, RBI and audit norms; partners with sales and service teams to enhance customer experience. • Run daily ops controls
Key Areas of Responsibilities Gift City NSE IX Derivatives Trade support and Clearing processing Daily Margin and Position Management Daily Collateral Management and bank movements System enablement for NSE IX Pre and Post trade processing including