Branch Operations: a) Reconciliation of Cash in ATM Machine and Cash Tally e) Cash Loading and Cash Balancing with ATM Machine. g) Reporting of Clearance to Branch & Office h) Preparing Discrepancy Report if any difference and send to Back Office. i) Attending FLM / SLM calls 2. MIS - Preparation of CBR (Cash Balance Report) on Daily Basis I.e. ATM Deposit & Drop box details, Discrepancy details, Card Capturing details, Cash Balance details, Overage & Shortage detail
📌 ATM Custodian
Cash Management (Chennai)
🏢 VRSamadhan
📍 Chennai
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