Tuesday, June 30, 2009

Day 18

I had to work further on the presentation about the income of this Leumi branch.

Monday, June 29, 2009

Day 17

I had to assist the investment consultant and he taught me what he does. He explained on what he bases his decisions and about cilinder options.

Sunday, June 28, 2009

Day 16

I had to set up in Excel the import and export of goods and services from our branch divided into the 3 groups of the branch and make graphs of it.

Thursday, June 25, 2009

Day 15

I went to a convention from all the investing advisers of Bank Leumi in Israel.

Wednesday, June 24, 2009

Day 14

I had to help prepare a presentation of the bank's activity on Excel with tables and graphs.

Tuesday, June 23, 2009

Day 13

I had to construct graphs about the activity of the bank for the past month and compare it with the other months.

Monday, June 22, 2009

Day 12

I had to analyze financial statements and put into the system the discount that client received on bank transactions.

Sunday, June 21, 2009

Day 11

I had to read the amendments and regulations of a firm, especially information about the shares like, for example, if shares could be pledged or not.

Thursday, June 18, 2009

Day 10

Today I had to see what kind of loans a company is allowed and how much they actually borrowed.

Wednesday, June 17, 2009

Day 9

I got had to setup profiles from clients so that we could determine if we should borrow money to the company or not.

Day 8

I got some more financial statements to analyze and to put into Leumi system.

Monday, June 15, 2009

Day 7

I had to construct a profile from a client in order to see if he should get discouts on transactions.

Sunday, June 14, 2009

Day 6

I had to sort and fax loan contracts that had to be signed or were just signed.

Thursday, June 11, 2009

Day 5

I had to analyze, by looking up information in a database, the biggest customers of a firm that ows money to the firm in order to see if the firm will be able to collect their money.

Wednesday, June 10, 2009

Day 4

There were some more financial statements to put into the computer and analyze.

Tuesday, June 9, 2009

Day 3

I got some more financial statements to enter and analyze. I also got a brief explanation on bank guarantees.

Monday, June 8, 2009

Day 2

I got several financial statements that I had to insert into the bank's database. It was a lot of work because sometimes you have to look for the account that is the most similar.

Sunday, June 7, 2009

Day 1

Fist day went very well. I got to know all the people at the bank. My first task was to scan signatures. After that I had to insert and/or correct financial statements like balance sheets, income statements, and cash flow statements.