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 Booking of trades and issuance of contract note for Gift City NSE IX Derivatives EOD client statements Audit & Inspections handling Trade support activities for NSE IX including limit maintenance for dealer, client