Location
Delhi
No of vacancy
3
Years of experiance
2-5 Years
Job Description
- Responsible for ATM reconciliation for of Banks/MSPs.
- Responsible to collect, collate, analyze & report the day-to-day operational reports from the branches/regions to the client.
- Responsible to ensure the report flow as per the agreed TAT.
- Responsible to track report submission MSP wise from the regions / corporate.
- Responsible to update the reports in portal wherever applicable within the agreed time.
- Responsible to clarify the queries raised by clients on the submitted report at the earliest.
- Responsible to update / report the concerned managers on day to day basis on the reports generated & if found any discrepancies.
- Responsible to ensure the shortages / cash loss found has been reported to the concerned managers and to monitor the recovery of the same.
- Responsible to coordinate with the operations team to report in the appropriate manner & within prescribed time.
- Reconciliation of disputes and discrepancy received from customer & Audit & Control Team.
- Implementation of Process with respect to EOD of ATM, audits and reconciliation of ATM Reports.
- Monitoring of MIS and Reconciliation operations in night with 100 % compliance.
- Unplanned audits and fact finding for any lapse or process not being followed by field operations.
- 100% implementation of CYCLO.
- Any Task assigned by management.
Skillset Required
Minimize the Loss of the Organization by timely and correct reconciliation of grievances and discrepancies in ATMs.
Send your resume to:
[email protected]
📌 Executive/ A.M-ATM Reconciliation (Delhi)
🏢 SIS PROSEGUR
📍 Delhi