Purpose of the role:
Administration and balancing of the Spark/NCR ATM recon process in line with company policies and procedures and that the client's needs are always efficiently and professionally met with the assistance of Management.
Key Performance Areas: (not totally inclusive):
End-to-end ATM reconciliations
Escalating any possible Cash loss
Identifying and escalating possible risk areas
Daily balancing of ATM recons
Balancing, loading and distributing packing schedules
After hours support to the cash centre
Clearance of debtors and GL accounts on SAP
Minimum Requirements:
Previous ATM Recon experience would be highly beneficial
Computer Literacy in MS Office Packages essential, with specific reference to advance Excel
Knowledge of administrative procedures
Knowledge of reconciliation procedures
Knowledge of Cash Management Centre processes
Knowledge of company policies and procedures
Willing to work alternate on Saturdays
Core Competencies
MS Office Computer skills
Acting professionally
Sound communication skills (written and verbal)
Supporting and working with others
Delivering objectives
Sharing and cooperating
Dealing with changing circumstances
Numerical accuracy and high methodical working methods are required
Attention to detail
Ability to cope with large volumes of data and work