Coordinate to produce cash replenishment schedules for Bank\'s self-service terminals (SST).
Ensure that the daily cash balances of assigned SSTs being managed and determine if any SSTs need to be replenished ahead of the next scheduled replenishment.
Review the forecast performance of assigned SSTs to determine how to improve the accuracy of the forecast.
Liaise with internal teams on daily operation requirement based on forecast of daily cash replenishment schedules.
Ensure the cash management operation runs smoothly for the assigned SSTs.
Job Qualifications
Minimum GCE \'O\' level or Diploma in Accountancy, Business Admin, Banking & Finance or other analytical qualification
Minimum 1 year customer service experience
Experience with a bank or armored car company in cash management, branch operations or cash operations is a plus
Excellent analytical, coordination and negotiation skills
Well-versed in MS Office applications
Demonstrated good writing and verbal/telephone skills
Willing to work on shifts, weekends, and Public Holiday
Work schedule 8:00am - 8:00pm (4 days work week/3 days off)
Location: Tampines
Carolyn Ann Santibanez Mendoza EA License No. 02C3423 Personnel Registration No. R1105160
Please note that your response to this advertisement and communications with us pursuant to this advertisement will constitute informed consent to the collection, use and/or disclosure of personal data by ManpowerGroup Singapore for the purpose of carrying out its business, in compliance with the relevant provisions of the Personal Data Protection Act 2012. To learn more about ManpowerGroup\'s Global Privacy Policy, please visit https://www.manpower.com.sg/privacy-policy