Gather and monitor financial data (e.g. sales revenues and liabilities) Prepare monthly, quarterly and annual statements (balance sheets and income statements) Forecast costs and revenues Manage tax payments Organize internal audits Prepare budgets
Sourcing High Value CASA customer’s. Generation of revenues through sale of CA, X-Sell and Third Party Products like Insurance. Penetration of Business Banking products like CMS/POS/Beat services to CA customer.