- Report Automation: Prepare and automate daily, weekly, and monthly operational and financial MIS dashboards.
- Data Tracking: Monitor key operational metrics, cash logistics data, and financial reconciliation variances.
- Collaboration: Partner with Operations and Cash Desk teams to collect and validate raw data.
- Analysis: Perform trend and variance analysis; draft ad-hoc analytical presentations for leadership.
Requirements:
- Excel /Advanced Excel: Mastery of VLOOKUP, INDEX/MATCH, Pivot Tables, Power Query, and Dashboards.
- Industry Experience: Fresher /Prior background in ATM operations, Cash Management or
- Shift Flexibility: Open to rotating shifts (7 AM -4 PM / 3 PM - 10 PM).
- Location: Must reside near or within easy commuting distance of the office.
- Whatsapp your CV -86554 26227/ 86579 98592