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Personal Banker Resume

Gaithersburg, MD

OBJECTIVE:

A challenging career in Software Testing and Quality Assurance

SUMMARY:

  • Understanding Software Development Life Cycle (SDLC), Test Life Cycle, Bug Life Cycle, QA Processes, testing methodologies and testing strategies.
  • Understanding business requirements, functional requirements & documentation for entire QA Testing cycle such as Test Plans, Test Scenarios, Test cases/scripts, Traceability matrix, Test Data, Defect Management reports & matrices.
  • Manual testing and Automated testing using different tools like Mercury Load Runner, Quality Center & QTP
  • Understanding of Agile methodology and the value of Scrum.
  • Understanding basic SQL queries to retrieve data from database tables and validate the data.
  • Preparation of test cases of Gmail account registration and Gmail login module.
  • Test case execution both manually and automation through web based system of Gmail.
  • Using quality center, testing management tool to conduct the testing.
  • Preparation of test cases of mercury flight reservation system.
  • Execution of test cases of mercury flight reservation system both manually and automation.
  • Testing of mercury flight reservation system through desktop and web based application.
  • Using Quality Center for testing management where entire works of testing was done from release to the defect management.
  • Using QTP for automating functional tests.
  • Worked on different databases using SQL tools for backend testing.

WORK EXPERIENCE:

Confidential, Gaithersburg, MD

Personal Banker

Responsibilities:

  • Processed customer’s transactions in a timely manner
  • Opening of different accounts etc.
  • Issue of bank card, credit card, travellers check, bank statement etc.
  • Referring mortgage business to the sales team.
  • Referring investment account to the sales team.
  • Conducted extensive research and adapted problem solving skills to resolves issues.

Confidential

Accountant

Responsibilities:

  • Wrote journal entries, processed vouchers and posted all account payable and receivables.
  • Performed bank reconciliations.
  • Calculated the operating results of the organization by preparing income statement.
  • Ascertained the financial position of the organization by preparing balance sheet.
  • Prepared salary chart sheet and filed income taxes for employees.
  • Reconciled interoffice transaction and books of account.

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