Key Responsibilities:
Perform accurate ATM & Switch counter reading and reconciliation from C3R reports
Assist in preparing detailed Audit Reports.
Maintain financial data, track discrepancies, and ensure cash reconciliation matches system records.
Requirements:
Good working knowledge of MS Excel (VLOOKUP, Pivot Table, etc.).
Prior knowledge/experience in ATM/Switch counters reading and Audit/C3R Reports.
Strong analytical skills and high attention to detail.
Immediate joiners preferred.