Job Description:
Ensure friendly and responsive customer service by providing excellent customer service skills Ensure accuracy of Cash sorting as per SBP Clean notes policy. Identifying and reporting Counterfeited Notes. Processing Cash Deposits and withdrawals (Ensuring regulations as described in Ops Manual) Process all customer transactions in currency and bearer instruments. Maintenance of Cash Balancing register & preparation of Teller Daily Cash Record; SBP Sheet; Vault Position, Average Sheet & other Cash related reports. Be the Custodian of allocated Keys and Stamps. To act as Backup of Customer Services Officer (CSO). Ensuring compliance with the Bank policy and procedure and local statutory requirements e.g. money laundering guidelines to prevent possible losses, frauds and forgeries & suspicious entries Accurately processing all Cheque deposits (all outward clearing instruments)
Well acquainted with Bank Cash Operations and areas of General Banking
Work under Pressure
Sound communication and interpersonal skills
Job Specifications:
Hold a Bachelor’s degree MBA will be preferable
Finance
Proficient in MS Office
N/A
Job Locations: