Posted on :
6 Jan, 2017
6 Jan, 2017
Closing Date: 30 December 2016
To provide a consistently high quality frontline transaction service to customers encompassing the cashing of cheques, acceptance of deposits and the provision of change.
To understand the risks associated with the handling of cash and maintain effective controls to manage these risks.
To maintain a high level of integrity and ethical standards.
Manage ATM/ANA machines (where applicable)
Key Responsibilities / Accountabilities
Attends to cheque encashment, Plus Plan withdrawals etc., according to laid-down procedures as stipulated in Group Reference Guide (GRG).
Attends to change transactions.
Accepts cheque and/or cash deposits, according to laid-down procedures as stipulated in GRG.
Ensures that cheques included in deposits are checked in terms of Duty of Care obligations.
Ensures that all items cashed are within laid-down limits and refers all transactions exceeding limits to the appropriate area for authorisation.
Ensures that items cashed are technically correct and signed, according to laid-down instructions as per GRG.
Prepares contingency schedules and capture as per point of reference structure.
Attends to value transactions
Assists with cash transactions captured by employees that do not operate till
Control of cash
Ensures that all laid-down policies and procedures regarding the handling, locking away and security of cash are adhered to.
Ensures that cash holdings are kept within prescribed limits at all times.
Balances cash daily and report any differences promptly.
Ensures that no unauthorised items are held as cash.
Custodianship (where applicable)
Acts as primary custodian of Automated Teller Machine (ATM) / Auto Note Acceptor Machine (ANA) keys.
Acts as primary custodian for the ANA / TM (KABA) Automatic time delay lock pass code.
Preferred Qualification and Experience
1 year Branch banking experience would be an advantage