- Experience
- Any
- Salary
- —
- Openings
- 1
- Posted
- há 2 horas
- Work mode
- In office
- Education
- Diploma or Degree equivalent
- Resume
- Required to apply
Where you'll work
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Job description
Job Overview
This role involves managing cash operations within a secure environment, including physical cash counting, shipment handling, stock reconciliation, and maintaining accurate records for audit purposes.
Primary Responsibilities
- Conduct precise piece counting of currency notes.
- Support bulk verification processes for incoming cash shipments.
- Assist with packing procedures for outgoing cash consignments.
- Generate detailed stock lists for front office sales and repatriation activities.
- Prepare end-of-day stock reconciliation reports.
- Ensure physical cash stocks align accurately with manual stock records.
- Verify that manual stock listings correspond with the system-generated day-end stock reports.
- Maintain organized daily stock records for audit readiness and management review.
- Report any discrepancies promptly through formal channels.
- Handle submission of counterfeit currency to the Commercial Affairs Department.
- Carry out machine maintenance and document service logs systematically.
- Manage vault operations including opening and closing procedures securely.
- Oversee security measures within the cash processing and vault premises.
- Support inventory ordering processes as needed.
- Perform additional duties assigned by supervisors on an ad hoc basis.
Qualifications and Requirements
- Possess at least a Diploma or Degree equivalent qualification.
- Prior experience in handling cash, counting operations, or logistics is preferred.
- Strong attention to numeric accuracy and detail orientation.
- Basic proficiency in computer applications is required.
Minimum education
Diploma / ITI / Vocational
Skills
How they work
Attention to Detail