Responsible for managing hard core cash transactions at branch level including cash deposit,withdrawal and recoveries from field staff and borrowers.
Ensure vigilance over cash collection to eliminate risk of forged/fake currency notes and safe keeping of cash and cash equivalents/valuables with in insurance limits.
Daily banking of collections and preparation of related accounting documents for financial data base. Ensure branch financial data integrity, accuracy, completeness and its timely submission to processing Hub for accounts compilation.
Warehousing, Humanitarian Logistics, Supply Chain Management