• Performing account maintenance procedures for investment clients,
• Checking investment agrements,
• BIST blacklist checks,
• Checking clients banned by the Capital Markets Board (SPK),
• Entering daily interest rates into the system,
• Entering transaction limits,
• System definitions related to branch transfer transactions and branch changes,
• Performing necessary checks for printing statements at the end of the month,
• Completing the opening procedures for VIOP accounts,
• Responding to investigation letters from tax offices, enforcement offices, and the Turkish Capital Markets Board (TSPB),
• Performing activities in accordance with HSBC Group procedures and standards, relevant legal regulations, and internal procedures.
• Checking customer instructions.