Role & responsibilities
Respond promptly to customer and CRA (Cash Replenishment Agency) queries; remain available for operational
exigencies.
- Monitor customer-specific SLAs and ensure adherence to defined deliverables.
- Analyse cash-out incidents and implement corrective measures to reduce recurrence and avoid penalties.
- Lead root cause analysis (RCA) on cash-related issues and drive preventive action.
- Coordinate with vendors and customers through scheduled reviews and alignment meetings.
- Optimize ATM cash levels to minimize idle cash and maximize operational efficiency.
- Review team performance regularly and provide necessary support for execution gaps.
- Act as backup for cash forecasting, indenting, and cash allocation activities.
- Prepare accurate reports and MIS related to cash replenishment, forecasting, penalties, and availability.
Preferred candidate profile
- 10+ years of experience in ATM cash operations or managed services
📌 Senior Manager - Cash Operations (Mumbai)
🏢 Writer
📍 Mumbai