Job Accountabilities Cash Transactions Process cash transactions after verifying signatures dates numerical amounts account funds ID checks Customer enquiries Respond to customer enquiries and provide customer service and support Audit Planning Customer accounts Receive returned cheques new ATM cards etc make required entries and advise customers Customer records Create update and maintain relevant customer records ensuring that data is recorded appropriately Reconciliations Perform end of day reconciliations accurately and on time Generic Accountabilities Corporate Governance Adhere to CBK regulations Bank s policies and procedures and work standards Compliance Compliance and awareness of Risk Policies AML and control regulations as well as Compliance to operational procedures and instructions You will be redirected to the company website to apply for this position
Teller • United Arab Emirates