1. Handling of cash receipts and payments and ensuring transactions are carried out within the prescribed TAT without errors
2. Cash balancing and Cash bundling
3. Processing of Retail FX postings / Gold sales/Pre Paid Cards
4. Issuance of DD/PO (within prescribed TAT)
5. Executing of funds transfer/ FD closure / Account Closure
6. Processing of Salary Uploads
7. Custodian for teller box
8. Custodian for cheque drop boxes
9. Ensure error free transactions of receipts & payments.
10. Retail FX transactions processing.
11. Vault Custodian
12. Ensure highest level of customer service.
13. Ensure that outward clearing process is adhered to.
14. ATM custodian.
15. Identification of counterfeit cash and ensure adherence of process laid down by the bank
📌 Executive (Delhi)
🏢 Noble Co-Operative Bank
📍 Delhi
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