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22 Jun 2023

Chief Customer Service Advisor-Mkushi at Absa Group

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Job Description


Bring your possibility to life! Define your career with us

With over 100 years of rich history and strongly positioned as a local bank with regional and international expertise, a career with our family offers the opportunity to be part of this exciting growth journey, to reset our future and shape our destiny as a proudly African group.

My Career Development Portal: Wherever you are in your career, we are here for you. Design your future. Discover leading-edge guidance, tools and support to unlock your potential. You are Absa. You are possibility.

Job Summary

Dispense and receive cash and related instruments and provide customer service to walk-in branch Retail
Customers.

Job Description

 

Key Accountabilities

CASH AND RELATED TRANSACTIONS

60%

Outputs:

Dispense and receive physical cash, cheques, Bills Negotiated/on collection, drafts and other financial instruments over the counter to walk-in customers.
Authorize and confirm foreign or local currency cheques (including credit/debit cards), either by issuing or cashing such cheques within set limits.
Carry out random checks at 2 hourly intervals to ensure that customer service advisors have captured all transactions on the bank’s system and that they are properly authorised before processing.
Monitor and maintain a record of all customer service advisors errors such as shorts and overs in tills
Carry out formal disciplinary action on errors noted as a result of cashiers negligence
Responsible for managing the vault and all cash supplies on the tills (beginning and end of day and intra-day) as well as cash sorting and repatriation.
Monitor cash levels held by the customers’ service advisors and in the vault throughout the day to ensure that both elements are within limits.
Order branch cash from the cash provider or central bank in accordance with limits set by the country head office.
As co-Custodian provide a second check in the daily reconciliation of branch total cash.
Escalate all cash issues including resourcing directly to the Branch Operations Manager or Operations Officer in accordance with current procedures.
Ensure cash is packaged correctly by front-line cashiers.
Recommend re-order levels of cash to the Branch Ops Manager or Officer on a weekly basis.
Carry out start and end of day checks for cashiers and till areas

CUSTOMER SERVICE 20%

Outputs:

Provide advice to customers on the cash process to ensure the smooth flow of transactions.
When directly receiving customer enquiries, attempt to resolve the enquiry at the first instance by using the bank’s systems. Only escalate to the Branch Manager or Branch Operations, or ask the customer to speak to an Inquiries Advisor when all other efforts have been exhausted to resolve the customer’s request.
Explain the banks procedures, security requirements (such as the requirement to provide sufficient ID when transacting) as well as services to customers.
customers Inform customers of the value of using the Customer Feedback system, including explaining to customers how the bank uses their feedback to improve service.
Identify customers that may require bulk counting facility
Manage leave days for the customer service advisors
Provide monthly counter returns to Branch Ops Manager or Officer
Hold daily morning huddles so that quality service is guaranteed to customers
Identify training needs for the cashiers to improve their skills levels
Participate in all customer service initiatives as directed by line manager from time to time
Hold coaching sessions for the cashiers and maintain a record for tracking performance
Provide input into cashiers’ performance reviews for the Branch Operations Manager or Officer

SALES LEADS
5%

Outputs:

Identify sales leads through reviewing income levels on customer statements, questioning customers when they mention specific needs, and referring any new leads to Customer Advisors
When specific sales campaigns are running in the branch, explain the campaign details in brief to cashiers, customers, and direct them to the Customer Advisors for further information.
Support Personal bankers to call and complete leads referred to your branch on Optimus

​RIGOUR 10%

Outputs:

Ensure customer service advisors reconcile their till cash at the beginning and end of each day, as well as when cash is restocked or repatriated during the day.
Ensure customer service advisors close tills according to the bank’s procedures, including physically securing the till according to requirement set out (e.g. physically chaining the till).
Throughout each day advise the Branch Ops when teller cash limits are reached to enable them to restock or repatriate cash.
Conduct snap checks as assigned by the Branch Coordinator from time to time.
Ensure that all transaction records are kept meticulously and in accordance with bank procedures. Make such documents available for review/control purposes when required.
All customer service advisors to sign for their till keys in the keys register
On a weekly basis review the ORC report to close off exceptions
Responsible for submission of excess cash report to Cash Services Manager
Provide monthly statistical data on cash transactions to Branch Ops Manager to assist in arriving at appropriate cash holding limits (both foreign & local currency)
Manage customer service advisors Overtime and submit return on a monthly basis
Hold strongroom keys (second set) as co-custodian, ensure that no compromises are made
Ensure that stationery (labels, security tags etc) and equipment (PC’s, UV lights, note counters, currency verifiers etc) are available all the time

RISK AND CONTROL

Ensure that all activities and duties are carried out in full compliance with regulatory requirements, Absa Operational Risk Framework and internal Absa Policies and Standards.

Contribution to own development and of team 5%

Outputs:

Share knowledge and experience with other customer service advisors in the team.
Provider cover for other Personal bankers in case of excessive workload or absence.
Deputise for Branch Operations manager when required.
Participate in team building events held by the branch.
Nominate colleagues who have performed in the team or retail.
Ensure all assigned training are done on time
Manage leave and ensure all types of leave are updated on work day.
Pursue continued improvement in personal development by participating in development programmes and training.
PERFORM ANY OTHER DUTIES AS ASSIGNED

Role / Person Specification

Technical skills / Competencies

Competencies:

Excellent numeric skills including meticulous attention to detail
Excellent communication skills especially verbal
Listening and questioning skills
Good keyboard skills, especially on the numerical side.

Essential

High level of working knowledge of all the
Bank’s retail products, procedures and policies
Some knowledge of competitive products and Processes
High school diploma with Math and English passed at a higher grade
1-2 years experience in a banking hall environment either as cashier or inquiries
Relevant diploma and degree
• Some experience in dealing with large amounts of cash in a retail environment

Education

Further Education and Training Certificate (FETC): Business, Commerce and Management Studies (Required)

 

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Method of Application

Submit your CV and Application on Company Website : Click Here

Closing Date : 21st July, 2023.





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