Cashier / Data Processor
Group 4 Securicor
مجموع سنوات الخبرة :7 years, 11 أشهر
June 2009 - Present Group 4 Securicor Dubai, U.A.E.
Cashier / Data Processor
• Proper segregation of ATM journals, captured cards and verification of items against service form and must signed by two officials
• Preparing an excel sheet report on a daily basis with proper segregation of cards as per bank requirements showing Machine ID, Customer Card/AC # and the Bank Issuer
• Sending the provide copy of JP log for error transaction in the same day
• ATM journal to be arranged date and machine wise in A4 size box file on a daily basis and hand over to the bank on a monthly basis with proper transmittal memo signed by two officials
• Maintaining one month journal under custody and send to the bank every first week of the month.
• Reporting for the every excess and shortages of all the transactions
• To comply strictly at all times with operational procedures outlined in the Cash Services manuals and maintain the integrity of the service
• Handling different kind of cash counting bundling machine e.g. BPS200, Cobra, DeLauro, Numron, laurel K8 etc
• Handling costumer complain and provide the satisfaction with reasonable supported document, video footage if any discrepancy during the verifying cash
• Generating ATM, CDM, CCDM& EDM report and reconciling as per costumer request with UNB, DIB, MSQ CITI BANK etc,
• Processing cheque manual and scanning as per costumer request generating report
moving with multinational company
Year 2005-2008 QS Technical PVT LTD Nepal
Accountant
• Responsible for the payroll.
• Documentation.
• This document describes the business requirements for the Cheque Scanning and Sorting service to be provided via back-office service
• This service applies both the unbounded Business need for the customer satisfaction and the Operations seeking manual work elimination and automation
Bachelor of Business Administration (BBA)
• P. C. L. from Tribunal University Nepal.
Grade Education