Job Requirements:
1. Pre disbursement KYC checking, agreement book and RTO set, verifications
2. Verification of documents, asset details and loading the documents in system
3. Handling the operations team
4. Checking and releasing the payouts after checking the Post disbursement documents.
5. Checking the NACH documents and cheques
6. Handling the high volume in month end
7. 2 years Experience in retail asset operations and disbursement related activities
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