Job Title CASH OFFICER
Location TANZANIA
Organization Name KCB BANK TANZANIA LIMITED
Department Description
KCBT
Stone town branch is among the fourteen branch of KCBT this branch is
located at Zanzibar Malindi Street. The branch positioned in a very
strategic area near Zanzibar port, branch as at 31/12/219 has 4954
customers with Asset book amounting to 22Bil and Liability book
amounting to 29Bil, Zanzibar region for now is a business area in which
most of the business transactions are done within this area which lead
to stiff competition in business especially in banking industry, as
almost all banks have branch within the area.
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Brief DescriptionThe role holder is responsible for maintaining custody of cash in the branch and the strong room
KEY RESPONSIBILITIES: MUST NOT BE MORE THAN 10
1. Manage counter services to ensure efficient service is delivered to customers.
2. Manage ATMs to ensure that they are operational at all times and replenished with new/serviceable notes.
3. Maintain custodian cash in the branch and the strong rooms
4. To ensure that cash holding limits are maintained both in reserve and with the cashier’s tills.
5. To authorize cash payments and withdrawals above the Section Heads’/cashiers’ limits.
6. To monitor and provide adequate currency notes to cashiers for counter service.
7. To ensure that cash held is adequately insured at all times.
8. Control and supervise the confirmation and sealing of cash deposited by cashiers into reserve.
9. Control and maintain reserve cash within approved limits for the branch.
10. Collect or receive excess foreign currency from cashiers for lodgement.
11. Supervise confirmation and packing of foreign currency for repatriation.
12. Respond to cash related customers’ correspondence.
13. Ensure that customers’ cash requisitions are prepared promptly.
14. Ensure that customers’ cash vouchers together with relevant cash summaries are ticked for validation purposes.
15. Take stock of cash in the safe and ensure that soiled notes and excess local or foreign currency in reserve are repatriated.
16. Make follow up on any cash related suspense entries.
Lodge cash in the strong room whenever necessary
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Detailed Description
DAILY RESPONSIBILITIES: NOT MORE THAN 5 OF THE MOST TYPICAL
1. Responsible for cash movements into and out of reserve
2. Ensure maintenance of proper records and control of the following registers
a) Reserve cash register.
b) Foreign currency register
c) Cross entries.
d) Lodge cashiers tills in the safe at end of day.
e) Ensure that cashiers balance their cash against cash analysis reports on daily basis
f) Ensure preparation of the overall cash summary on daily basis.
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NEW JOB OPPORTUNITIES (1,316+ POSTS)
Job Requirements
Bachelor degree from any recognized institution
MODE OF APPLICATION: APPLY ONLINE
NOTE: If Application link doesn't not open correctly It's due to KCB system error not us, so please be patient and try again later.
TO APPLY CLICK HERE!
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Brief Description
The role holder is responsible for offering the following
1. To offer quality cash services
2. To ensure that customer account and instruments details are correctly captured
3. Ensure that cheques presented are correctly captured
4. Ensure that the names of the payee tallies with the name of the account and the beneficiary account on the deposit slip
5. Ensure that cheques are properly drawn in all respects
6. Ensure that the payee number is correctly indicated on the reverse of all cheque deposits
7. Ensure that the deposit slips and the corresponding cheques have crossing stamp.
Detailed Description
DAILY RESPONSIBILITIES: NOT MORE THAN 5 OF THE MOST TYPICAL
1. To receive and post cash deposits, cheque deposits and money orders
2. To make cash payments against authorized instruments.
3. To issue cheque-on-selves against covers
4. To give cash change
5. To ensure that cash held in the till is adequate
6. Lodge excess cash/currency in the strong room
7. Ensure that cash held in the till at the end of business day tallies with the user’s cash analysis report
8. Compile and submit cash returns in respect of own general ledger accounts.
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Job Title TELLER
Location TANZANIA
Organization Name KCB BANK TANZANIA LIMITED
Location TANZANIA
Organization Name KCB BANK TANZANIA LIMITED
Department Description
KCBT Stone town branch is among the fourteen branches of KCBT this branch is located at Zanzibar Malindi Street. The branch positioned in a very strategic area near Zanzibar port, branch as at 31/12/2019 has 4954 customers with Asset book amounting to 22Bil and Liability book amounting to 29Bil, Zanzibar region for now is a business area in which most of the business transactions are done within this area which lead to stiff competition in business especially in banking industry, as almost all banks have branch within the area.
KCBT Stone town branch is among the fourteen branches of KCBT this branch is located at Zanzibar Malindi Street. The branch positioned in a very strategic area near Zanzibar port, branch as at 31/12/2019 has 4954 customers with Asset book amounting to 22Bil and Liability book amounting to 29Bil, Zanzibar region for now is a business area in which most of the business transactions are done within this area which lead to stiff competition in business especially in banking industry, as almost all banks have branch within the area.
Read Also:
Brief Description
The role holder is responsible for offering the following
1. To offer quality cash services
2. To ensure that customer account and instruments details are correctly captured
3. Ensure that cheques presented are correctly captured
4. Ensure that the names of the payee tallies with the name of the account and the beneficiary account on the deposit slip
5. Ensure that cheques are properly drawn in all respects
6. Ensure that the payee number is correctly indicated on the reverse of all cheque deposits
7. Ensure that the deposit slips and the corresponding cheques have crossing stamp.
Detailed Description
DAILY RESPONSIBILITIES: NOT MORE THAN 5 OF THE MOST TYPICAL
1. To receive and post cash deposits, cheque deposits and money orders
2. To make cash payments against authorized instruments.
3. To issue cheque-on-selves against covers
4. To give cash change
5. To ensure that cash held in the till is adequate
6. Lodge excess cash/currency in the strong room
7. Ensure that cash held in the till at the end of business day tallies with the user’s cash analysis report
8. Compile and submit cash returns in respect of own general ledger accounts.
Read Also:
Job Requirements
Bachelor degree from any recognized institution
MODE OF APPLICATION: APPLY ONLINE
NOTE: If Application link doesn't not open correctly It's due to KCB system error not us, so please be patient and try again later.
Bachelor degree from any recognized institution
MODE OF APPLICATION: APPLY ONLINE
NOTE: If Application link doesn't not open correctly It's due to KCB system error not us, so please be patient and try again later.