Overview

Responsibilities:
  • Perform cash desk servicing of bulk cash amounts
  • Accept, prepare and approve payment orders submitted by clients
  • Create and approve initial documents in the “AS Bank Operational Day” system for bulk cash deposits/withdrawals, cash and non-cash foreign exchange transactions, as well as initial off-balance-sheet deposit/withdrawal documents
  • Receive cash from the vault required for cash transactions and return excess cash
  • Recalculate, verify, sort and pack valuables delivered by the Collection Service
  • Ensure daily operational document flow
  • Prepare receipt and withdrawal documents and respective orders for valuables transported by the Collection Service
  • Reconcile and approve invoices received from the Collection Service
  • Prepare accounting documents related to loading and unloading of ATM, payment terminal and Cash-in ATM cassettes
  • Perform cash loading and unloading of ATM cassettes
  • Verify amounts loaded into and unloaded from ATMs, payment terminals and Cash-in ATMs
  • Arrange the process of archiving the Division’s documents
Required Qualifications:
  • Higher education (final-year students will also be considered)
  • Work experience is not required
  • Proficiency in MS Office
  • Knowledge of Armenian, Russian and English languages
  • Honesty and a strong sense of discipline
  • Attention to detail, alertness and ability to react quickly
  • Ability to work effectively in a team
  • Conscientious approach to work and a high level of responsibility
Technologies:
  • MS Office
  • AS Bank Operational Day
Note:

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