Job Summary
Responsible for the efficient and secure handling, processing, and management of banknotes within the bank's operations, ensuring compliance with all internal policies and external regulations.
Job Responsibilities
- Execute daily cash operations, including receiving, sorting, counting, and verifying banknotes from various sources.
- Process cash deposits and withdrawals accurately and efficiently for internal departments and external clients.
- Ensure the integrity and security of all banknotes and cash-related items within the Banknotes Centre.
- Operate and maintain cash processing machinery (e.g., banknote counters, sorters) and troubleshoot minor issues.
- Adhere strictly to established security protocols, internal controls, and regulatory guidelines for cash handling.
- Reconcile cash balances daily and investigate any discrepancies promptly.
- Prepare and maintain accurate records and reports related to cash transactions and inventory.
- Collaborate with other departments to ensure smooth cash flow and operational efficiency.
- Assist in periodic stock takes and audits of banknotes.
- Identify and report suspicious transactions or counterfeit currency.
Job Qualifications
- Minimum GCE 'O' Level or equivalent, preferably with a diploma in Banking & Finance, Business Administration, or a related field.
- Proven experience in cash handling, treasury operations, or a similar role within the banking or financial services industry is preferred.
- Strong understanding of cash management principles and security procedures.
- Meticulous and detail-oriented with a high degree of accuracy in handling large volumes of cash.
- Ability to work effectively under pressure and meet tight deadlines.
- Good communication and interpersonal skills.
- Basic proficiency in using office software (e.g., Microsoft Excel, Word).
- Ability to work in a secure and controlled environment.
- Singapore Citizen or Permanent Resident.