Overview
Responsibilities:
- Receive the required cash funds from the vault for performing cash transactions and return excess amounts
- Provide cash services for large-value transactions
- Perform end-of-day cash desk reconciliation, package valuables, and transfer them to the vault
- Load and unload cash cassettes of ATMs
- Count, verify, sort, and package valuables delivered by the collection (cash-in-transit) service
- When necessary, collect cash from organizations at their premises (cash collection/in-cashment)
- Provide cash reinforcements to Operations Department cashiers during the operational day
- Recount and accept surplus cash
- Deliver expert support and conultation to colleagues
- Organize and summarize daily documentation
- Ensure proper documentation of all transactions
- Propose improvements and enhancements to procedures and processes as needed
- Perform duties in compliance with applicable laws, regulations, and internal policies
- Operate within assigned authority, limits, and responsibilities
- Escalate and discuss issues with the manager
- Collaborate with the manager to develop solutions to operational challenges
- Perform tasks assigned by the manager
- Fulfill other duties defined by the Bank’s internal regulations
Required Qualifications:
- University degree, preferably in accounting, finance, economy
- At least 2 year of work experience (from which at least 6 months in customer service)
- Experience in working with cash is desired
- Good knowledge of the Microsoft Office package, knowledge of AS-Bank 4.0 is desired
- Good language skills in Armenian, Russian, English
- General understanding of banking and related activity, banking and civil legislation, accountingu
- Excellent communication skills and positive appearance
- Ability to work attentively
- Team-player
- Good orientation in conflict situations
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