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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