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Job description

Role & responsibilities • Handle daily cash receipts and payments at the branch. • Ensure accurate cash balancing and cash book maintenance. • Process customer transactions and issue receipts. • Manage petty cash and maintain related records. • Prepare daily cash reports and MIS. • Coordinate with banks for cash deposits and withdrawals. • Ensure compliance with internal controls, audit, and regulatory guidelines. • Support branch operations and customer service activities. • Maintain proper documentation and record keeping. • Ensure safe custody of cash and financial instruments. Preferred candidate profile

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