ឱកាសការងារ

បុគ្គលិកផ្នែកគ្រប់គ្រងសាច់ប្រាក់

This position is designed to perform daily operation of (i) selecting quality notes for Head Office ATM offsite & Branches (ii) replenishing notes for the assigned Head Office ATM Offsite (iii) looking after property of Head Office Vault with a timely, quality and accurately manner. It is expected that the incumbent should have a good understanding of Head Office Vault management included cash movement, counterfeit note and ATM knowledge with personal attitude of positive, honest, careful, commitment and team work.

Main Duties

  • Select and classify quality notes both USD and KHR currencies to support ATM offsite and Branches on a daily basis;
  • Support on cash arrangement/movement to/from NBC, Branches and ATM offsite;
  • Replenish notes into the assigned ATM offsite cassettes as reserved with carefully arrangement of cassettes, name tag, key, record of amount, number of ATM offsite designated location and seal number;
  • Work with delivery company for cash movement to/from NBC, Branches and ATM offsite as to bring the reserved cassettes to load into the ATM offsite as well as to take back the cassettes after replacement with carefully count/ verify all notes in cassettes then move to vault;
  • Prepare letter/document related to withdrawal/deposit fund at NBC, NBC’s check, Denomination and delivery invoice with seal;
  • Monitor and Work closely with related team for maintenance the ATM offsite of error, retract, combination change on a timely basis;
  • Look after the property in Head Office Vault of Cash, Cassettes for ATM offsite and Counting Machine;
  • Prepare regular/ad-hoc reports;
  • Perform additional tasks/projects assigned by line manager.

Job Requirements

  • Bachelor Degree in Banking, Business Admin or other related fields;
  • Minimum 2 years of banking experiences related knowledge to Cash Management, Counterfeit note & ATM;
  • Working Cash management, cash movement, counterfeit note, ATM and Letter/Report preparation and stakeholder engagement;
  • Attention to details, productivity & accuracy with time management skill;
  • Accountability and honest with record of team spirit & collaboration;
  • Fostering Collaboration, Good Communication & Interpersonal Awareness, Innovativeness and Professional Knowledge and Skill;
  • Ability to use and communicate in both Khmer and English;
  • Good at computer skill in particular of Ms Work & Excel.

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Staff, Cash Management Unit

របៀបដាក់ពាក្យ៖

បេក្ខជនដែលមានចំណាប់អារម្មណ៍ សូមអញ្ជើញផ្ញើប្រវត្តិរូបសង្ខេប (មានបិទរូបថត) ជាមួយលិខិតអមជាភាសាខ្មែរ/អង់គ្លេសមកធនាគារតាមរយៈអុីម៉ែល: hr@ftbbank.com ឬការិយាល័យកណ្តាល ស្ថិតនៅអគារលេខ ៣៣ C-D ផ្លូវលេខ ១៦៩ សង្កាត់វាលវង់ ខណ្ឌ ៧មករា រាជធានីភ្នំពេញ ឬតាមសាខាណាមួយ របស់ធនាគារពាណិជ្ជកម្មក្រៅប្រទេស នៃកម្ពុជា ។ មានតែបេក្ខជនដែលមានលក្ខណៈសម្បត្តិគ្រប់គ្រាន់នឹងត្រូវបានជាប់ក្នុងបញ្ជីសម្រាំង និងត្រូវបានទូរស័ព្ទអញ្ជើញឲ្យមកចូលសម្ភាសន៍ ។
ព័ត៌មានបន្ថែមសូមទំនាក់ទំនងមកកាន់លេខទូរស័ព្ទ: ០៨១ ៦៦៦ ៥៩៧ / ០៨១ ៦៦៦ ៥៣៥

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Contact

Head Office Branch

HR Department

Tel : +855(0)23 862 111
Fax : +855(0)23 426 108/ 426 410
Email : info@ftbbank.com
Website : www.ftbbank.com
Swift Code : FTCCKHPP
Address : No. 33CD, Street 169, Sangkat Veal Vong, Khan 7 Makara, Phnom Penh, Cambodia.