Receive cash, perform cash counts and reconciliations, and support office documentation archiving and general filing
Job Summary
Receive cash, perform cash counts and reconciliations, and support office documentation archiving and general filing.
Attend to clients for various banking operations, including deposits, withdrawals, payments, account openings, foreign currency exchange, and insurance sales, while identifying clients and detecting counterfeit bills.
Offer and contract financial products such as cards, loans, and insurance, while maintaining updated client databases and managing commercial activities to meet product and service objectives.
Matching Summary
Receive cash, perform cash counts and reconciliations, and support office documentation archiving and general filing.
Skills & Requirements
Must-have
cash handling and reconciliation
customer service and sales
financial product sales
client data management
risk monitoring
Nice-to-have
vocación de servicio
habilidad de negociación
orientación comercial
trabajo en equipo
enfoque en calidad
Key Requirements
Minimum 1 year in face-to-face sales
Technical student (V Cycle+) or University student (IX Cycle+), graduate, Bachelor or Title
Availability to work Monday-Friday and Saturday mornings