Posted:4 days ago|
Platform:
On-site
Full Time
C&S:Currency Chest Head | |||||
INTERNAL USAGE: | |||||
No. of Vacancies: | Reports to: | Head Clearing & Settlement | |||
Is a Team leader | YES | Team Size: | 250-300 | ||
Grade: | Senior Vice President-I | ||||
Business: | Retail Operation | Department: | Clearing & Settlement | Sub-Department: | Currency Chest |
Location: | Maharashtra | ||||
About Name of BU | |||||
Monitoring overall Currency Chest Operations as per the regulatory guidelines Liasoning with the RBI-Department of Currency Management-Central office for support required at local issue office. Coordination with the Internal -Department for support. Establishment of Forged note vigilance cell at CO and adhering to its functions across the Currency Chest Setting up the quarterly CBL within the assigned limit by RBI, also ensure each chest maintain the balance within the limit Reviewing of Branch CRL on Half yearly basis in coordination with BIU & communicating to Branches. Dissenting the RBI instruction to the Currency Chest for conducting the chest operations within the compliance Visit to Currency chest- Annual & FNVC visit on periodic intervals Running through Governance template for checking real time status of various parameters as mentioned in the checklist Tracking conduct of the audits on timely basis as defined by regulator and checking availability of closure report Set-up/ Relocation of Currency chest- Coordinating with Circle BBO and CRES right from site selection to inauguration and operationalization of chest Expense management- Setting up a yearly budged and ensure that the expenses are within the allocated budget. Hiring and SLA execution with Sorting and CIT agencies Automation of Currency Chest processes Ensure that updation of Currency Chest manual on regular interval Ensure that all Currency Chests are within Chest balance Limit( CBL) Ensure that all Currency Chests unsorted cash Representing bank in SLSC/SCCM meetings of RBI issue offices across bank and submission of the reply on the banks actionable Take appropriate measures to mitigate the risk identified in RCSA to improve the EGRC rank. Conducting RCA if any lapses found Yearly assessment (PMS) of the Currency Chest staff Provide necessary inputs and material to Training Team for effective training for Branch teller/ CC staff and avoiding any regulatory penalty. Mentor and coach team members to progress within system by following the Banks Core Values and professionalism. Support and guidance to Currency Chest team | |||||
C&S-Currency Chest | |||||
All the Currency Chest should followed the Internal & regulatory guidelines & this would help to perform better for the organization. What is the size of the operation the position manages and supports Total size of the operation is 4-5 people in the currency chest. | |||||
Key Responsibilities | |||||
Liasoning with RBI / Circle office /Other Bank/ Branches /Central office Monitoring of Currency Chest Operations as per the regulatory guidelines Follow the regulatory guidelines ( RBI/ Safety security/Internal) Automation of Currency Chest Process Monitoring of Currency Chest CBL & Branch CRL Dissenting the RBI instruction to the Currency Chest Execution of SLA Support & Guidance to Currency Chest. | |||||
Qualifications | |||||
Optimal qualification for success on the job is: Post Graduation | |||||
Role Proficiencies: | |||||
For successful execution of the job, the candidate should possess the following: Total 10-12 year Work experience in Branch Banking operations. Past experience related to the job role will be preferred |
Axis Bank
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nashik
12.0 - 16.0 Lacs P.A.
kamptee, maharashtra, india
Salary: Not disclosed