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Job Description
Processing of cash deposits in local and foreign currencies and daily balancing.
Acceptance of cheques deposits
processing of utility bills
issuance of cashiers orders
issuance of demand drafts
processing of external transfers
Processing of internal transfers
Processing of sales and purchases of T/Cs and daily balancing
Encashment of Cheques/Drafts
Processing of Visa cash Advance
Taking appropriate care of his working station
Maintenance of proper registers of Stocks of valuables under his custody
Maintenance of proper register for transactions as required in the Bank's procedures
Control and signs daily transactions as a "B" Signatory - as may be required by Supervisors from time to time
performs other duties or responsibilities as may be required and assigned by supervisors from time to time.
Skills
Full knowledge of ABT/Cash functionality.
Full knowledge of SVS Functionality.
Working knowledge of all back office transactions.
Ability to speak, read and write Arabic and English.
Familiarity with all BSF Products and Services.