Closing Date: 30 December 2017
·
To provide a consistently high
quality frontline transaction service to customers encompassing the cashing of
cheques, acceptance of deposits and the provision of change.
·
To understand the risks associated
with the handling of cash and maintain effective controls to manage these
risks.
·
To maintain a high level of integrity
and ethical standards.
·
Manage ATM/ANA machines (where
applicable)
Key Responsibilities / Accountabilities
·
Telling
o
Attends to cheque encashment, Plus
Plan withdrawals etc., according to laid-down procedures as stipulated in Group
Reference Guide (GRG).
o
Attends to change transactions.
o
Accepts cheque and/or cash deposits,
according to laid-down procedures as stipulated in GRG.
o
Ensures that cheques included in
deposits are checked in terms of Duty of Care obligations.
o
Ensures that all items cashed are
within laid-down limits and refers all transactions exceeding limits to the
appropriate area for authorisation.
o
Ensures that items cashed are
technically correct and signed, according to laid-down instructions as per GRG.
o
Prepares contingency schedules and
capture as per point of reference structure.
o
Attends to value transactions
o
Assists with cash transactions
captured by employees that do not operate tills.
Control of cash
o
Ensures that all laid-down policies
and procedures regarding the handling, locking away and security of cash are
adhered to.
o
Ensures that cash holdings are kept
within prescribed limits at all times.
o
Balances cash daily and report any
differences promptly.
Ensures that no unauthorised items are held as cash.
Custodianship (where applicable)
o
Acts as primary custodian of
Automated Teller Machine (ATM) / Auto Note Acceptor Machine (ANA) keys.
o
Acts as primary custodian for the
ANA / TM (KABA) Automatic time delay lock pass code.
Preferred Qualification And Experience
·
Matric
·
1 year Branch banking experience
would be an advantage
How To Apply