Backend Executive managing 25+ loan applications per month through loan application verification, credit bureau checks, and sanction documentation across the approval flow. Coordinates between sales, underwriting, and borrowers to keep files complete, support disbursement, and maintain accurate records for approved and rejected cases. Strengthens loan processing by handling document validation and follow-up with external agencies.
Overview
2
2
Languages
7
7
years of professional experience
Work History
Backend executive
Akiko global services private limited
07.2026 - Current
Organized loan files and customer paperwork to keep submissions ready for processing.
Coordinated with credit bureau contacts to confirm required information for loan cases.
Assisted with disbursement documentation and handoff steps for approved files.
Checked incoming records against source documents to maintain orderly case files.
Backend Executive
Helloans Zinee Group Private Limit ed .
05.2024 - 07.2026
Reviewed [number] loan applications weekly while verifying applicant documents and coordinating credit bureau checks.
Maintained organized loan records for approved and rejected applications in Tally ERP 9 and MS Office.
Coordinated between sales, credit analysis, and underwriting teams to move applications through verification and approval.
Supported GST filing, bookkeeping, and bank reconciliation alongside routine backend loan administration.
Accounts Executive
Maison De Auriane
09.2022 - 09.2023
Managed account updates for Amazon, Flipkart, Nykaa, Myntra, and Shoppers Stop using MS Office and Typing.
Tracked bills receivable, followed up on pending collections, and kept account balances current.
Compiled bookkeeping records and supported bank reconciliation across client salon accounts.
Accounts Executive
Sandeep Aggarwal &Associates
08.2019 - 02.2021
Manage general ledger maintenance and organize financial data in MS Office for consistent account reporting.
Prepare tax liability calculations and support GST filing by gathering relevant financial information.
Enter account data accurately and support bank reconciliation tasks to keep records current.