Ensuring transactions are completed in an efficient manner with a high level of accuracy
Follow compliance procedures, company policies and abides by all guidelines as per company standards
Supervises the cashiers to ensure balancing and reconciling procedures; ‘End of Day’ sheets are maintained accurately at the close of each business day
Day to day management of the business operations
Articulate and discuss various foreign exchange market opportunities as appropriate
Engage in marketing and sales of the company’s product.
Build and maintain lasting relationships with institutional clients and high net-worth individuals.
Handling all foreign exchange transactions, cash, cheques, and foreign currencies.
Matching demand and supply of foreign exchange.
Carrying out accurate forex exchange transactions settlement with all procedural formalities and documentation.
Skills
A highly motivated person with a passion to perform
Excellent communication skills and an outgoing personality
Smart appearance, reliable and punctual
Ability to work on own initiative accurately, with attention to detail
Previous experience in a cash-handling environment would be an advantage
Prepared to work morning/afternoon shifts – weekends – public holidays