General duties
- Analyzes, coordinates, assigns to service providers, and monitors the execution of outsourced activities, including:
- ATM and DATM cash replenishment;
- Cash processing, cash-in-transit (CIT) services, and cash storage for ATMs and bank branches;
- Cash deliveries to /from bank branches;
- Storage of the Bank's own funds (EUR and foreign currencies) in cash centers.
- Participates in correspondence with providers of Cash Processing and Cash-in-Transit (CIT) services;
- Prepares reports and analysis for Management;
- Supports the maintenance process of banknote sorting and coin-counting machines.
- Participates in the enhancement and development of software applications related to cash management;
- Provides support for cash operations within the Bank's branch network.
Requirements
- University degree in Economics, Finance, Business Administration, Engineering;
- Strong analytical and problem-solving skills;
- Basic knowledge of Excel, SQL, and Power BI;
- Basic to intermediate knowledge of statistics and forecasting methods;
- Ability to communicate effectively with IT teams and external service providers.
Preferred Qualifications
- Knowledge of the regulatory framework governing cash operations;
- Experience in cash management and/or cash-in-transit (CIT) operations;
- Experience working with processes directly related to ATMs.
DSK Bank offers
- Work in a leading financial institution with established traditions and a name on the market.
- Opportunity for professional development.
- Food vouchers in the amount of up to 102.26 per month.
- Attractive bonus scheme.
- Additional health insurance.
- Favorable conditions for housing and mortgage lending.
- Multisport/CoolFit card at preferential prices.
- 20+5 days of paid annual leave.
If the position matches your professional interests and skills, we will be happy to consider your application.
Documents for application
CV