Skip to main content

Week 04 01-22-2024

MANAGEMENT MEETING
Duration: 8:30am - 09:29 am
Venue: Virtual Via Google Meet

Presided by: Faith Ozegbe

ATTENDEES

ABDULLAHI NAJIMUDEEN       -  Head, Internal Operations
ADETAYO OLUKOGA                 - Ag. Head Asset Creation & Head, Public Sector
AJIBOLA ABDULFATAI               - Portfolio Risk Officer
ANTHONIA OGBU                    - Head, Underwriting
BLESSING YAHAYA                   - Head, Wealth Management

EMMANUEL ONAKOYA             - Head, CRM 
FAITH OZEGBE                           - Acting Secretary
GODFREY EGBUOKPORO          - Head, Communications
ISMAIL BALOGUN                      - Account
ITIEKHAO IKEPEMINOGENA       - General Manger
LINDA OTTAH-IJEKEYE               - Lead, Brokers Admin
OLUSEGUN AKEJU                      - Portfolio Risk Manager
OLUWADAMILARE OLAYINKA    - Lead, Transformation
OLUWAFISAYO OMOPARIOLA    - Sales Operations & Strategy
OLUWASEGUN BOLAWOLE        -  Head, Strategic Partnership
OLUWOLE EWEJOBI                    - Head, Information Technology
OMOWALE BELLO                       - Coperate Lease
SOPHIA DAGI                              - Head, Telesales & Client Experience Management
STANLEY MAFUVWE                   - Head, Asset Remedial Management
USIWOMA IGBI                           - Wealth Management

OPENING PRAYER
Ismail Balogun said the opening prayer 

ADOPTION OF MINUTES
Adetayo Olukoga seconded by Faith Ozegbe adopted the minutes of the last meeting.

ORDER OF PRESENTATION
Telesales, Asset Creation, Strategic Partnership, Brokers Admin, Co-operate Lease, Treasury, Credit Risk Management, Legal

ACTIVITY REPORT (6th - 10th November, 2023)

Tele-sales Team Report
The total amount consummated by the team for the week in review is 0 (0% of the week’s target) at 0 count with core tele sales and tele sales-cold call team consummating 0M 0% of the week’s target) at 0 counts and 0K (0% of the week’s target) at 0 count respectively.

Asset Creation Team Report
For the period in review, Transactions disbursed are 0.

Strategic Partnership Team Report
For the period in review, the total sales achieved is 0 (0% Of the budget). The report also captures the activities, visits, and pending partnerships in the public and private sectors.

Cooperate Lease Team Report
captures transactions in the pipeline (operating lease).

Brokers Admin Team Report
The week in review shows liability generation is 54.44% (10.47M) of the budgetRisk Asset Transaction Disbursed for the week - NIL, Fresh Fund (RTN) for the Week 9.5M, Reap Fund for the week 670K, Rollover for the week Nil, Liquidation for the week Nil. The report also captured Pending RTN transactions.

Wealth Management Team Report
The report shows the activity in the week.

Credit Risk Management Report
The report shows  Core underwriters approved 25 transactions and pushed back 9 transactions. The senior underwriters approved 16 transactions and pushed back 2 transactions. In the recovery space, total recovery is 15.7M 41% of the weeks' target broken down as PDO recovery:  11M at 110 counts (21% of the target). Extended interest recovery as 1.63M at 26 counts (40% of the target), Provisioned Accounts recovery as 3M at 55 counts (76% of the target).

RISK ASSET GENERATION REPORT

ROSABON FINANCIAL SERVICES LTD- RISK ASSET GENERATION REPORT


LAGOS BRANCH PERFORMANCE




WEEK 3
Ending


20-Jan-24

BAL B/F WEEK 3 ACTUAL PERFORMANCE ACTUAL NET PERFORMANCE CUMULATIVE 2024 BUDGET BUDGET VARIANCE
YEAR TO DATE
PERFORMANCE
YEAR TO DATE
% CHANGE BETWEEN 2024 & 2023


ACTUAL PERFOMANCE YEAR TO DATE PRE-LIQUIDATED LOANS YEAR TO DATE





2024 2024 2024 2024 2024 2024 2023 2024 Vs 2023
PRODUCTS








Personal Loan / Public Sector Employee Loan / Group Loan 24,665,000.00 12,259,000.00 36,924,000.00 - 36,924,000.00 264,653,491.74 -86% 125,859,254.95 -71%
Consumer Leases

-
- 1,133,446.15 -100% - 0%
Asset Cash Loan

-
- - 0%
SPBS

-
- 72,675.00 -100%
Sub-Total 24,665,000.00 12,259,000.00 36,924,000.00 - 36,924,000.00 265,786,937.89 -86.11% 125,931,929.95 -71%
Corporate Leases

-
- 2,017,710.72 0%
-100%
Operating Leases -
-
- 57,404,755.20 0%
-100%
Business Support Loan/ACL-Corporate -
-
- 589,739.04 0%
-100%
Sub-Total - - - - - 60,012,204.97 -100.00% 60,012,204.97 -100%










B2C - Products 24,665,000.00 12,259,000.00 36,924,000.00 - 36,924,000.00 265,786,937.89 -86% 125,931,929.95 -71%
B2B - Products - - - - - 60,012,204.97 -100% 60,012,204.97 -100%
TOTAL FOR LAGOS 24,665,000.00 12,259,000.00 36,924,000.00 - 36,924,000.00 325,799,142.86 -88.67% 185,944,134.92 -80%










Cash Backed loan / Credit Card

-
- 17,712,803.61 -100% - 0%










Total Risk Assets & Cash-Backed Loan 24,665,000.00 12,259,000.00 36,924,000.00 - 36,924,000.00 343,511,946.47 -89.25% 185,944,134.92 -80%










ROSABON FINANCIAL SERVICES LTD- RISK ASSET GENERATION REPORT


ABUJA BRANCH PERFORMANCE




WEEK 3
Ending


20-Jan-24

BAL B/F WEEK 3 ACTUAL PERFORMANCE ACTUAL NET PERFORMANCE CUMULATIVE 2024 BUDGET BUDGET VARIANCE
YEAR TO DATE
PERFORMANCE
YEAR TO DATE
% CHANGE BETWEEN 2024 & 2023


ACTUAL PERFOMANCE YEAR TO DATE PRE-LIQUIDATED LOANS YEAR TO DATE





2024 2024 2024 2024 2024 2024 2023 2024 Vs 2023
PRODUCTS








Personal Loan / Public Sector Employee Loan / Group Loan 2,617,000.00 5,000,000.00 7,617,000.00 - 7,617,000.00 191,873,781.51 -96% 25,256,000.00 -70%
Consumer Leases

-
- 412,162.24 -100% - 0%
Asset Cash Loan

-
- 0% 0%
SPBS

-
- 0% 0%
Sub-Total Abuja 2,617,000.00 5,000,000.00 7,617,000.00 - 7,617,000.00 192,285,943.75 -96% 25,256,000.00 -70%
Corporate Lease

-
- 288,244.39 -100%
0%
Operating Leases

-
- 8,929,628.59 -100%
0%
Business Support Loan/ACL-Corporate

-
- 324,356.47 -100%
0%
Sub-Total B 2 B Leases - - - - - 9,542,229.45 -100% - 0%





-



B2C - Products 2,617,000.00 5,000,000.00 7,617,000.00 - 7,617,000.00 192,285,943.75 -96% 25,256,000.00 -70%
B2B - Products - - - - - 9,542,229.45 -100% - 0%
TOTAL FOR ABUJA 2,617,000.00 5,000,000.00 7,617,000.00 - 7,617,000.00 201,828,173.20 -96% 25,256,000.00 -70%










Cash Backed loan / Credit Card

-
- 1,771,280.36 -100%
0%










Total Risk Assets & Cash-Backed Loan 2,617,000.00 5,000,000.00 7,617,000.00 - 7,617,000.00 203,599,453.56 -96% 25,256,000.00 -70%










ROSABON FINANCIAL SERVICES LTD- RISK ASSET GENERATION REPORT


PORT-HARCOURT BRANCH PERFORMANCE




WEEK 3
Ending


20-Jan-24

BAL B/F WEEK 3 PERFORMANCE YEAR TO DATE 2023 PRE-LIQUIDATED LOANS 2022 NET PERFORMANCE 2023 CUMULATIVE 2024 BUDGET BUDGET VARIANCE
YEAR TO DATE 2024
PERFORMANCE
YEAR TO DATE 2023
% CHANGE BETWEEN 2024 & 2023


ACTUAL PERFOMANCE YEAR TO DATE PRE-LIQUIDATED LOANS YEAR TO DATE





2024 2024 2024 2024 2024 2024 2023 2024 Vs 2023
PRODUCTS








Personal Loan / Public Sector Employee Loan / Group Loan 1,521,835.65 5,240,000.00 6,761,835.65 - 6,761,835.65 205,106,456.10 -97% 38,262,668.10 -82%
Consumer Leases

-
- 515,202.79 -100%
0%
Asset Cash Loan

-
- 0%
0%
SPBS

-
- 0%
0%
Sub-Total Port Harcourt 1,521,835.65 5,240,000.00 6,761,835.65 0 6,761,835.65 205,621,658.89 -96.71% 38,262,668.10 -82%
Corporate Leases

-
- 576,488.78 -100%
0%
Operating Leases

-
- 61,231,738.88 -100% 300,000,250.00 -100%
Business Support Loan/ACL-Corporate

-
- 560,252.09 -100%
0%
Sub-Total B 2 B Leases 0 0 0 0 0 62,368,479.75 -100.00% 300,000,250.00 -100%







-
0%
B2C - Products 1,521,835.65 5,240,000.00 6,761,835.65 - 6,761,835.65 205,621,658.89 -97% 38,262,668.10 -82%
B2B - Products - - - - - 62,368,479.75 -100% 300,000,250.00 -100%
TOTAL FOR PORT HARCOURT 1,521,835.65 5,240,000.00 6,761,835.65 0 6,761,835.65 267,990,138.65 -97.48% 338,262,918.10 -98%







0%
0%
Cash Backed loan / Credit Card -
-
- 5,819,921.19 -100% 0 0%







0%
0%
Total Risk Assets & Cash-Backed Loan 1,521,835.65 5,240,000.00 6,761,835.65 0 6,761,835.65 273,810,059.83 -97.53% 338,262,918.10 -98%




















ROSABON FINANCIAL SERVICES LTD- RISK ASSET GENERATION REPORT


ANAMBRA BRANCH PERFORMANCE




WEEK WEEK 3
Ending


PERFORMANCE
YEAR TO DATE 2023


BAL B/F ACTUAL PERFOMANCE PERFORMANCE YEAR TO DATE 2023 PRE-LIQUIDATED LOANS 2022 NET PERFORMANCE 2023 CUMULATIVE 2022 BUDGET BUDGET VARIANCE
YEAR TO DATE 2024
PERFORMANCE
YEAR TO DATE 2023
% CHANGE BETWEEN 2024 Vs 2023


ACTUAL PERFOMANCE YEAR TO DATE PRE-LIQUIDATED LOANS YEAR TO DATE





2024 2024 2024 2024 2024 2024 2023 2024 Vs 2023
PRODUCTS








Personal Loan / Public Sector Employee Loan / Group Loan 1,750,000.00
1,750,000.00
1,750,000.00
0%
0%
Consumer Leases

-
-
0%
0%
Asset Cash Loan

-
- 0%
0%
SPBS

-
- 0%
0%
Sub-Total Port Harcourt 1,750,000.00 0 1,750,000.00 0 1,750,000.00 0 0.00% 0 0%
Corporate Leases

-
-
0%
0%
Operating Leases

-
-
0%
0%
Business Support Loan/ACL-Corporate

-
-
0%
0%
Sub-Total B 2 B Leases 0 0 0 0 0 0 0.00% 0 0%







-
0%
B2C - Products 1,750,000.00 - 1,750,000.00 - 1,750,000.00 - 0% - 0%
B2B - Products - - - - - - 0% - 0%
TOTAL FOR ANAMBRA 1,750,000.00 0 1,750,000.00 0 1,750,000.00 0 0.00% 0 0%







0%
0%
Cash Backed loan / Credit Card





0%
0%







0%
0%
Total Risk Assets & Cash-Backed Loan 1,750,000.00 0 1,750,000.00 0 1,750,000.00 0 0.00% 0 0%




















ROSABON FINANCIAL SERVICES LTD- RISK ASSET GENERATION REPORT


OYO BRANCH PERFORMANCE




WEEK ACTUAL PERFOMANCE
Ending


PERFORMANCE
YEAR TO DATE 2023


BAL B/F ACTUAL PERFOMANCE PERFORMANCE YEAR TO DATE 2023 PRE-LIQUIDATED LOANS 2022 NET PERFORMANCE 2023 CUMULATIVE 2022 BUDGET BUDGET VARIANCE
YEAR TO DATE 2024
PERFORMANCE
YEAR TO DATE 2023
% CHANGE BETWEEN 2024 Vs 2023


ACTUAL PERFOMANCE YEAR TO DATE PRE-LIQUIDATED LOANS YEAR TO DATE





2024 2024 2024 2024 2024 2024 2023 2024 Vs 2023
PRODUCTS








Personal Loan / Public Sector Employee Loan / Group Loan

-
-
0%
0%
Consumer Leases



-
0%
0%
Asset Cash Loan



- 0%
0%
SPBS



- 0%
0%
Sub-Total Port Harcourt 0 0 0 0 0 0 0.00% 0 0%
Corporate Leases



-
0%
0%
Operating Leases



-
0%
0%
Business Support Loan/ACL-Corporate



-
0%
0%
Sub-Total B 2 B Leases 0 0 0 0 0 0 0.00% 0 0%







-
0%
B2C - Products - - - - - - 0% - 0%
B2B - Products - - - - - - 0% - 0%
TOTAL FOR OYO 0 0 0 0 0 0 0.00% 0 0%







0%
0%
Cash Backed loan / Credit Card





0% 0 0%







0%
0%
Total Risk Assets & Cash-Backed Loan 0 0 0 0 0 0 0.00% 0 0%

TREASURY MANAGEMENT REPORT

ROSABON FINANCIAL SERVICES LIABILITY GENERATION REPORT








WEEK 3 Ending 20-Jan-24














LAGOS BAL B/F INFLOW OUTFLOW NET FLOW CUM BUDGET
YEAR TO DATE
PERFORMANCE
YEAR TO DATE
PERFORMANCE
YEAR TO DATE
BUDGET VARIANCE
YEAR TO DATE
% CHANGE BETWEEN 2024 & 2023 (ACTUAL)












2024 2024 2024 2024 2024 2023 2024
TENOR FUND 295,440,816.94 184,150,000.00 251,284,670.44 -67,134,670.44 49,886,835.86 228,306,146.50 111,324,686.58 178,419,310.64 105%
R-WIN 99,232.01 470,000.00 822,966.68 -352,966.68 1,096,413.98 -253,734.67 2,681,186.79 -1,350,148.65 -109%
REAP PRODUCT 960,990.05 495,000.00 1,676,232.61 -1,181,232.61 3,837,448.91 -220,242.56 -6,268,394.93 -4,057,691.47 -96%
RBIP







-
TOTAL 296,501,039.00 185,115,000.00 253,783,869.73 -68,668,869.73 54,820,698.75 227,832,169.27 107,737,478.44 173,011,470.52 111%










ABUJA








TENOR FUND -238,613.18 1,500,000.00
1,500,000.00 22,171,927.05 1,261,386.82 11,794.69 -20,910,540.23 10595%
R-WIN -

- 487,295.10 - - -487,295.10 -
REAP PRODUCT 120,000.00

- 1,705,532.85 120,000.00 130,000.00 -1,585,532.85 -8%
TOTAL -118,613.18 1,500,000.00 - 1,500,000.00 24,364,755.00 1,381,386.82 141,794.69 -22,983,368.18 874%










WARRI








TENOR FUND
- - -
-
- 0%
R-WIN
- - -
- - - 0%
REAP PRODUCT
- - -
- - - 0%
TOTAL
- - - - - - - 0%










TOTAL 296,382,425.82 186,615,000.00 253,783,869.73 -67,168,869.73 79,185,453.75 229,213,556.09 107,879,273.13 - 112%










PORT-HARCOURT











WEEK 3





TENOR FUND 45,444,151.54 26,600,000.00 261,714,391.09 -235,114,391.09 38,800,872.34 -189,670,239.55 82,729,821.14 -228,471,111.89 -329%
R-WIN 250,000.00
700,000.00 -700,000.00 852,766.46 -450,000.00 280,000.00 -1,302,766.46 -261%
REAP PRODUCT -340,275.64 100,000.00
100,000.00 2,984,682.45 -240,275.64 1,831,431.58 -3,224,958.09 -113%











45,353,875.90 26,700,000.00 262,414,391.09 -235,714,391.09 42,638,321.25 -190,360,515.19 84,841,252.72 -232,998,836.44 -324%




















CONSOLIDATED BAL B/F INFLOW OUTFLOW NET FLOW CUM BUDGET
YEAR TO DATE
PERFORMANCE
YEAR TO DATE
PERFORMANCE
YEAR TO DATE
BUDGET VARIANCE
YEAR TO DATE
% CHANGE BETWEEN 2023 & 2022 (ACTUAL)
TENOR FUND 340,646,355.30 212,250,000.00 512,999,061.53 -300,749,061.53 110,859,635.25 39,897,293.77 194,066,302.41 -70,962,341.48 -79%
R-WIN 349,232.01 470,000.00 1,522,966.68 -1,052,966.68 2,436,475.54 -703,734.67 2,961,186.79 -3,140,210.21 -124%
REAP PRODUCT 740,714.41 595,000.00 1,676,232.61 -1,081,232.61 8,527,664.21 -340,518.20 -4,306,963.35 -8,868,182.41 -92%
RBIP -


- -

0%

341,736,301.72 213,315,000.00 516,198,260.82 -302,883,260.82 121,823,775.00 38,853,040.90 192,720,525.85 -82,970,734.10 -80%


MEETING ADJOURNMENT
Godfrey Egbuokporo seconded by Faith Ozegbe adjourned the meeting

Faith Ozegbe said the closing prayer