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  • Posted: Oct 23, 2015
    Deadline: Not specified
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    Citi has been doing business in Nigeria since 1984. The bank formerly operated under the name Nigeria International Bank Limited, but was renamed to Citibank Nigeria Limited (Citi Nigeria) in 2008 to fully align with Citi's global brand and identity. The bank has a strategic business focus in Nigeria specializing mainly in Corporate Banking and servicing ...
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    Transaction Svs. Rep 3 (Teller)

    Description

    Job Purpose:
    The basic objective of the Branch Operations/Cash & Tellers unit is delivery of products and services to customers in a timely and efficient manner. Located in the banking hall, the unit is the major point of contact with customers and the general public; hence it is a major driver in determining the level of customer satisfaction through the quality of service provided.
    Positive customer experience translates directly to business growth through deepening of customer wallet and creates opportunity for new relationships.
    This underscores the primal position of the unit within the overall context of the bank as a service provider.
     
    Key Responsibilities:
    The following are the specific tasks and responsibilities of the Counter Service Teller:
     
    •     Perform LCY/FX cash transactions over the counter at the branch.
    •     Reconcile FX collections from  implant location to resolve issues with collections
    •     Hold custody of FX cash in the vault.
    •     Handling/processing of all over the counter collections.                                                                         
    •     Ensure all customers’ requests/instructions are complete with proper documentation in line with applicable regulations and guidelines of Central Bank of Nigeria, tax laws of the Federal Republic of Nigeria, U.S. anti-boycott and anti-money laundering guidelines, Citigroup policy and local procedures.
    Time-stamp (validate) and signature-verify all customers’ requests and refer those that require call-back/status approval to supervisor for action.
    •     Ensure transactions are not processed for SDN names and sanctioned countries by checking the SDN list prior to processing transactions.
    •     Report all qualifying transactions processed in line with existing NDLEA limits.
    •     Ensure appropriate charges are applied as per bank’s charges list, applying concessions where applicable.
    •     Process all customer requests within the standard turnaround time and without error.
    •     Ensure stated procedures and policies for all products are adhered to while processing. e.g. Advise of daily rates  first thing every morning
    •     Update registers, where required, before/after processing.
    •     Ensure all transactions processed during the day are fully authorised and there is no pending transaction left on the system before closing for the day.
    •     Ensure all cash received and paid is properly accounted for by preparation of teller proof at the end of each day. Perform intermittent balancing during the day.
    •     Ensure all cash exchanges are documented in line with policy. Safeguard all cash and valuables under custody.
    •     Maintain appropriate confidentiality and security of customer and transactional information stored in any form (images, application files, databases, spreadsheets, papers, registers, files, etc) in line with local procedures and departmental designations. Ensure proper put-away procedures are observed at close of business and during any temporal absence from workstation.
    •     Participate in the quarterly MCA exercise for all counter products and processes and ensure satisfactory MCA ratings are achieved for all products and processes.
    •     Handling of expense and internal processing transactions.
    •     Preparation and delivery of reports as may be required by implant customer
    •     Ensure all performed tasks are closed on Resolve IT at the required/specified intervals.
    •     Perform additional projects and responsibilities as assigned by unit management.
     
    Business Relationships:
    •     Internal:  Moderately frequent contact with Cash management unit (Treasury & Trade Solutions), other branches, Relationship Managers, Citiservice.
    •     External: Highly frequent contact with Customers and Teller Implant Locations.

    Qualifications

    Knowledge:
    •     B.Sc. degree/first degree
    •     6-12 month’s operations experience will be an advantage.   

    Skills:
    •     Good Interpersonal/Communication Skills
    •     Customer Focused
    •     Analytical Mind/Proactive
    •     Fast Learner
    •     Meticulous & Accurate
    •     High level of integrity/sense of responsibility
     
    Core Competencies:
    •     Error Free Processing
    •     Ability to work under pressure
    •     Compliance with regulatory/institutional requirements
    •     Processing within tight turn-around times
    •     Preparation of Reports with tight timelines
    •     Customer satisfaction in a highly competitive environment
    •     Weekend and public holiday work (as and when required)

    Primary Location: EMEA-NGA-LA-Lagos
    Job Category: Operations
    Schedule: Full-time
    Education Level: Bachelor's Degree
    Shift: Day Job
    Employee Status: Regular
    Travel: No

    Method of Application

    To apply for this position, visit CitiBank's Career Page on Taleo

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