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HO Extensions

Contact Person
Gaurav V Soni (MD)
Syam Kumar
Samson K J
Prashant Singh
Sanjeev Kumar G
Biju Xaviour
Ranjith Kumar G
Wealth Accounts
Rashmi E
Biju S
Paul Varghese P
Praveen Noel

Francis Antony

Mohasina Shahu
JishaMol
Nandappan
JayaKumar E G
Securities Accounts
Anupama Panicker
Krishna Raj
Saji Abraham
Ambika Menon
Manoj Sebastian

Sheeja A S
Tony John
Elsa Varghese
Sreekanth
Sreenesh A K
Aneesh Narayanan
Ajith Kumar A A
Vinod K A
Sutheesh S Kurup
Dinesh Rawat
Insurance Accounts
Sujith K R
Jeemon A K
Human Resource Department
Paul Varghese (Sr. VP)
Ajai Mathews
Amirul Ansari
Jerin K
Sheeba Oommen
Marsha

Lubna A P
Dhannya
Femy

Safna Nizzar
James N J
Ajay Kumar
General Insurance
VijayaKumar V K
Alex Kootiyani
Krishna Kumar P M
Sreenivas Mallya
Insurance - Operations
Renjith V B
Stelji George
Vineeth P N
Archana Govind
Divya V N
Surveillance - Capital
Gijo T Rocky
Dhanyan
Binu Mathew
Felix Earnest
Yugandhar
Ratheesh B
Jibin Mathew
Printo C J
Paul Raphael
Jyothish V R
RajKumar Jangid
Surveillance - Commodity
Aby Thomas
Gipson
Sijoy
Sunil K
Ajeesh P D
Ramesh K A
Ratheesh Kumar R
Surveillance - iTrade
Deepak P
Prasanth Kumar K C
Credit & Risk Management
Sriram Chandran
ChandraMohan J
Frajesh
Charu Kini
Vibin
Angela
Shipra Gupta
Mariyamma Varghese
Aneesh Kumar
Billing Department
RadhaKrishna Bhat
Gireesan S K
Sreejith M
Sreejith S
Clearing Department
Radhakrishnan P
Chidambaranath R
Johny Joseph
Sonia Jose
SumeshKumar Prabhu
Sajjan George
Depository

Jobby Antony P J

Prasad K

Prakash K J

Sunil Kumar A C
Gopikrsihnan R

Dhaneesh A S
MohanDas P
Nikesh N Kamath
Administration
Sanjayan S
Sunil T C
Dipin N M
Bony M J
Rakesh Rao
Sreejith K M
Smitha T
Compliance
Jasmine Jose

Anu R Kaimal
Neenu Jose
Moncy P Joseph
Compliance - KYC
Anooj J Antony
Anitha P
Gayathri Devi
Praseeda C U
Reji P R
Sinitha M
Pratheesh T J
Vinod Kumar V
Vinitha Poulose
Sumi Raj
NRI Services
Stephy Sebastian
Vishnu Vijayan
Deepak
Mutual Fund
Jerry Varughese
Franchisee Development
VenuGopal P
Muhammed Nazeer
Mary T V
Justin Francis
Akhila C Nair
Legal & Secretarial
Salini B
Sreeja R L
Jaya Sreekumar
Meera
Vinod Mohan
Adv. Joseph Sebastian
Research - Capital
Binu Joseph
Afzal Hussain A A
Tapan Trivedi
Praveen K C
Girish Kumar P S
Bobby Rocky T
Research - Commodity
Harish Galipelli
Chowda Reddy M V
Bitupan Majumdar
Murukesh Kumar K
Gautham K
Shiji Abraham
Menon Kiran
Technical Department
Anil Jose
Ginto T D
Jinesh C K
Varun Jose
Nishad Gaffoor
Rajesh K R
Subin P S
Tarunendra S B
Sreelatha
CDS
Ajay Banwari
Ankita Joshi
Bitihotra R
Gaurav Mahajan
Prini Prem
Sudheer Y V V
Vivek Verma
Zuhaib T Khan
Online Buisness
Ajo Kurian
Maneesh
Pratheesh L R
Shilpa Biju
Manesh K Joseph
MohanLal
Sreejith S Jayan
Arul M S
Aneesh
Pratheesh L R
Customer Support
Poornima
Manoj Kumar P L
Manoj K Shenoy
Muralee Krishnan
Priya V G
Transmedia
Regina
Sub Staffing
Ghosh K N
Libu V
Lijo P
Niyaz N A
Rajesh S P
Shaji K B
Sunil Felix
Giribabu V D
Mukesh S Kamath
Rahim K M
Shihab K M
Sijo S
Rajendran P D
Vinod P R
Pantry
286
HO Extensions
Ext No
Managing Director 239
Company Secretary 248
Sr. VP - Commodity Operations 325
Country Head - Online Business 251
Head - Operations & Technology 277
Vice President 259
Regional Head - Insurance 423
Wealth Accounts
304
270
276
client payout, fund transfers 269

Bank reconciliation (federal bank, ING, PNB, UTI, UBI,


Syndicate), payin entries related to the above banks 269

Bank reconciliation (HDFC, SIB, ICICI, SBT, SBI, KVB),


Payin entries related to the above banks 269
Cheque returns, delayed payments 247
Issuance of branch expense cheques, payout 247
303
Securities Accounts
312
Incentive calculation, query related to targets, MMS issues 339
Bank reconciliation (SBI & ING), General queries 274
398
General queries, Bank reconciliation (Canara Bank) 273

Bank reconciliation (Axis bank, SBT, ICICI, Andra bank,


corporation bank & client divident) 273
Bank reconciliation (HDFC, SIB, Federal bank) 354
Bank reconciliation (syndicate bank), cheque related details 336
all expenses, cheques & fund transfer 252
cheques & fund transfer 356
all client payout & client fund transfer 271
252/356
356/271
Target Monitoring 399
Target Monitoring 272
Insurance Accounts
225
225
Human Resource Department
279
PMS 257
(Recruitment & Offer letter generation - Equity & Commodity) 254
Recruitment (Insurance) 478
Recruitment (Insurance) 492
Recruitment (Insurance) 479

Offer letter generation- Insurance, Vcards, Id cards & Bank


account openings 245
Training & Development 261
Training & Development 261

Resignations (equity & commodity), NCFM Certification,


Attendance & Leave Management, Mediclaim 257
Salary (equity & commodity), statutory 260
Salary, statutory & resignations (Insurance) 260
General Insurance
227
228
229
226
Insurance - Operations
452
472
472
472
Insurance Incentive, Business (login details) MIS 472
Surveillance - Capital
301
290/291
316
206
264/317
335
208
334
315
206
335
Surveillance - Commodity
201
338
219
233
376
219
233
Surveillance - iTrade
214
218
Credit & Risk Management
221
Commodity surveillance & Loan against shares on commodity 333
Margin funding & Loan against shares (Capital) 333
Margin funding & Loan against shares (Capital) 308/204
Margin funding & Loan against shares (Capital) 297/204
EZ Gold 308
Loan against shares (capital), risk in capital segment 298
Fincorp accounts 297/326
Fincorp accounts 297/326
Billing Department
Brokerage modification, cash & commodity password 281
resetting-LD back office, client level, FTP, SMS of balance 268
confirmation, branch transfer, code modification, contarct note 266
updation, trade related queries 243
Clearing Department
Capital - Clearing 238
Capital - Clearing 242
Capital - Clearing 237
Capital - Clearing 237
Capital - Clearing 242
Commodity - Clearing 278
Depository

Compliance, NSDL/CDSL Correspondance, LD Co-ordination,


Training, Greivance Redressal 302
Pledge, Freezing, Unfreezing, Transmission, Mailing
Overdue / FailedReport, POA Mapping, Modification of
Account. 234

Entire Financial & Accounting activities, DP Billing, Dues


Recovery, Inventory Control, Sending demat application /
POA forms and other stationeries to branches / associates. 230

Execution of DIS instructions, Closing of Demat Accounts,


Physical Share Transfers. 337
Execution of DIS instructions, Closing of Demat Accounts. 231

Demat / Remat of Securities and Commodities. Password reset.


Sending demat rejection to branches / associates. 235
Filing and records management. 235
Sending Welcome kit to clients. Processing New DIS book
requests of clients. 337
Administration
310
263
262
311
311
263
262
Compliance
293

CTCL id activation/deactivation/shifting, NCFM certification


updation, terminal activation/deactivation 399
295
295
Compliance - KYC
435
DP - KYC 458/443
capital - KYC 439
capital - KYC 436
Modification (email id, bank, address….) & DP - KYC 426
Commodity - KYC 459
DP - KYC 443
Capital - KYC 436
DP - KYC 443
Fincorp - KYC 419
NRI Services
417
418
NRI Queries 418
Mutual Fund
421
Franchisee Development
280
Business Acquisition 295
Associate coordination & support 292
Business development 295
Associate coordination & support 244
Legal & Secretarial
352
342
342
342
321
253
Research - Capital
211
332
211
332
318
332
Research - Commodity
215
307
209
307
209
209
307
Technical Department
256
ODIN 328
ODIN 213/212
Networking 351
Networking 351
340
itrade 313
351
255
CDS
202/205
453
202/205
202/205
202/205
202/205
202/205
202/205
Online Buisness
413
468
444
Customer Care (iTrade) 469
468
433
447
447
464
iTrade Accounts 444
Customer Support
402
475
477
470
470
Transmedia
324
Sub Staffing
220
220
220
220
220
220
220
247
440
271
311
440
341
341
Pantry
286

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