• Oversee and monitor the daily cash-in transactions, including domestic money remittance, deposits, and other cash-in services offered by the company.
• Ensure that all cash-in transactions are processed smoothly, verify transaction accuracy, and troubleshoot any transaction discrepancies.
• Collaborate with the customer support team to resolve any customer issues related to cash-in processes.
• Coordinate with banking partners, payment gateways, and other third-party vendors to ensure smooth cash-in operations.
• Generate regular reports on cash-in volumes, transaction success rates, and related KPIs for senior management.
• Identify inefficiencies in the cash-in processes and work with relevant teams to implement improvements.
• Monitor and mitigate risks related to cash-in operations, ensuring the security and integrity of the financial data.
Job Type: Full-time
Pay: From ?14,000.00 per month
Schedule:
• Rotational shift
Experience:
• Accounting: 2 years (Required)
• Cash flow analysis: 3 years (Required)
• Customer service: 1 year (Required)
Work Location: In person
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