C&S:Currency Chest Operations Staff
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| C&S:Currency Chest Operations Staff | |||||
| INTERNAL USAGE: | |||||
| No. of Vacancies: | Â | Reports to: | Currency Chest Head | ||
| Is a Team leader? | NA | Team Size: | NA | ||
| Â | Â | ||||
| Grade: | Assistant Manager /Deputy Manager | ||||
| Business: | Retail Operation | Department:� | Clearing & Settlement | Sub-Department: | Currency Chest |
| Location: | Mumbai | ||||
| About Name of BU | |||||
�        Executing day to day Currency Chest Operations as per the regulatory guidelines �        Monitoring the CRL of the mapped branches in co-ordination with CC Head/Ops Head/ BBO team �        Maintaining records of Bi-monthly/Half Yearly/ cash verification/other Audit at the chest. �        Handling cash remittance i.e. cash payment to branches and CRAs (ATMs) and cash receipt from branches or CRAs recyclers) �        Ensuring proper sorting of notes as per RBI guidelines and monitoring the Sorters at the chest. Handling and managing discrepancies found during sorting. �        Ensuring checking and proper packing of Soiled Note Remittance boxes �        Liaisoning with vendors for upkeep of Note Sorting Machines, Counting Machine etc. �        Updating entries in CCMS for inward, outward, sorting, bin management etc �        Ensuring vigilance keeping security aspects in mind �        Monitoring of sorting operations �        Accompanying Soiled Note Remittance sent to RBI and handing over of cash to RBI with acknowledgement �        Attending RBI CVPS i.e. processing of Soiled Note remitted by Chest �        Processing of vendor Bills in P2P �        Liaisoning with COT team for approval �        Handling joint custodianship of vault, whenever required �        Ensuring Checking and proper maintenance of Safety & Security gadgets �        Updating & Maintaining various registers at the Currency Chest �        Timely verifying finacle & CCMS� transactions �        Monitoring of CIT vehicles� as per the RBI guidelines �        Reconciliation of Chest cash balance at the EOD. �        Submission of MIS as per CO Requirements. | |||||
| About the Role | |||||
 Currency chest operation is critical job�� & also monitor by the RBI. Currency chest is cash operation job providing services� �to branches as well as ATMs. Currency chest to follow all the regulatory guidelines & this would help to perform better for the organization.  What is the size of the operation the position manages and supports? ��� Total size of the operation is 5-6 people in the currency chest. ������������������������������������������������������������������������������������ | |||||
| Key Responsibilities | |||||
�        Liaisoning with RBI/ vendors/ Other Banks��� �        Co-ordination with CC Head/Ops Head/ BBO team�������������������������������������������������������������������������������������������������������������������������������������������������� ������������������������������������������������������������������������������������������������������������������ �        Ensuring with regulatory guidelines. �        Handling cash remittance i.e. cash payment to branches and CRAs (ATMs) and cash receipt from branches or CRAs recyclers) �        Ensuring proper sorting of notes as per RBI guidelines and monitoring the Sorters at the chest. Handling and managing �        Excellent problem solving and communication skills� | |||||
| Qualifications | |||||
Optimal qualification for success on the job is: �        Graduate �        Additional Certificate course related to Banking sector Knowledge of Internal Accounts in finacle, MS excel & MS power points | |||||
| Role Proficiencies: | |||||
For successful execution of the job, the candidate should possess the following:  �        Experience in branch banking operations preferably as Branch Teller or cash management as a Teller.  |
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C&S:Currency Chest Operations Staff · Axis Bank