Taking Care of entire of Cash operations rangingNew Cash-ATM Takeovers tomanagement for the existing. Managing Centralized Cash Forecasting,Indenting, Loading Schedules, CashTrackers, Reconciliation, Reports Delivery, Daily MIS, Monthly BillingActivity etc. Coordinating with Bank & agency for smooth collection cash from currency chest & ensuring the replenishments of forecasted ATMs without delay. Preparing Cash Management Reportsthe details of shortages/overages//cash with the consolidated details for the ATMs. Coordinating with franchisee today to day operations FC/PPM model sites. Owner of MIS for details for respective region. Ensure that all thereport are sent tointernal cross functional team Ensuring low denomination available the ATM’s to improvise transactions. Always have a keen reducing movement & loading_. Managing cash shortage issuesCIT agency
Required Qualification:
Graduate or MBA 3-5 years’ experience inManagement Planning, execution, cost management Good at MS Excel Good Communication skills Solid in managing multiple and partners
- Excellent Analytical Skills & solving approach
📌 Executive- Cash Operations (India)
🏢 india1ATM
📍 India
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