
Website Absa Group Limited
Job Description:
To maximise the customer experience by ensuring that continuous quick and efficient service is delivered to all Cash Customers through mentoring, coaching and developing staff within Hub and Spoke,
Job Responsibilities:
- Custodian for ATM & GBRU and Nodal Cash Planning processes and compliance
- Responsible for RIB foreign exchange administration and balancing and reconciliations on a daily, weekly, monthly basis
- Ensure effective management of cash in the Treasury department.
- Understand and implement local market strategies to maximize opportunities and business profitability. Use market intelligence to meet and exceed the market needs.
- Reconcile GLMQ enquiry balance to figure on the Final Reconciliation of Treasury Float
- Client contract regarding shortage / surplus and assist within Spokes if required
- Responsible for daily productivity stats and ensure all weekly / monthly / yearly targets
- Assist Cash Custodians within Hub and Spoke resolving client queries and complaints.
- Ensure sufficient money to supply client demands within the Cash limit of the HUB. Order money from SARB (notes) and coins from SBV.
- Investigate all shortages or surplus.
- Capture the physical Cash on Hand (COH) of the Hub and Spoke, the Integrated Cash Management System (ICMS via FBSS) before 10h00.
Qualification & Experience:
National Certificate: Accounting (Required)
Job Details:
Company: Absa Group Limited
Vacancy Type: Full Time
Job Location: Polokwane, Limpopo, SA
Application Deadline: N/A
Vacancieshut.com