Job Description
Description
Primary responsible to implement processes, identify areas for improvement and assist in documenting processing relative to the following:
A. Teller Services
B. Cheque Clearing
Work closely with Branch Operations Manager, colleagues within the team and Salmon stakeholders to achieve Salmon's business model and strategic direction.
Vault Room and Main Vault Custodian Reliever
Teller Services
- Start-of-Day (SOD) Cash receipt acknowledgment in the CBS.
- Accepts cash / cheque deposits, loan / bills payment and posts the transaction in Core Banking System (CBS)
- Releases cash for withdrawal, including cheque encashment and posts the transaction in CBS.
- Updates customer passbook and Issues transaction slip for deposit, withdrawal, or payments.
- Posting of Time Deposit (TD) placement and release of TD proceeds for pre-termination and maturity
- Secures appr...
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