Main Duties:
•   Perform verification and carry out reconciliation of client reports
•   Process and reconcile transaction of complex nature
•   Send instruction to the bank for daily credit of clients account
•   Perform reconciliation of daily report of fund physically received from DRS (Smart Safe) and the daily credit.  Â
•   Respond to customer inquiries and provide requested information and reports within required time frames
•   Input and update client information of the respective system
•   Act as liaison officer for the department with other cash or other department
•   Prepare weekly or monthly KPIs in accordance to the departments’ requirements as per Brink’s Standard.Â
•   Prepare reports and analysis as and when requested by the management
•   To handle client issues either by phone or by e-mail.
•   Escalate any issues to the management
•   Participate to process improvement with regards to automation of the DRS reconciliation activities.
•   Any other cognitive duties as instructed by the management.Â
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Knowledge & Experience:Â
•   HSC or SC with relevant experience
•   Experience in Accounts Receivable is preferred
•   Excel Intermediate level required
•   Good knowledge of other Microsoft Office tools (outlook, word, etc)
•   Interpersonal skills
•   Customer Oriented
•   At ease with figures, analysis and reporting
•   Excellent communication skills both verbal and written in English and French
•   Excellent analytical, reporting and organizational skills with Collaborative Workstyle
•   Always acting with integrity
•   High sense of details