Cash Processor FTC (Ormonde) – Fixed-Term Contract
Location: Ormonde, Gauteng, South Africa
Job Type: Contract (Fixed-Term)
Duration: 9 – 12 Months
Job Level: Junior
Salary: Market Related
Reference Number: CPSS FTC
Posted Date: 22 June 2026
About the Role
An exciting opportunity is available for a Cash Processor to join a dynamic cash management team based in Ormonde. The successful candidate will be responsible for receiving, processing, sorting, reconciling, and safeguarding cash deposits while ensuring compliance with company policies, banking service level agreements (SLAs), and standard operating procedures (SOPs).
This position is ideal for candidates with cashier or teller experience who are detail-oriented, accurate, and able to work efficiently in a fast-paced cash handling environment.
Key Responsibilities
Cash Receiving and Processing
Receive cash deposits and capture transactions on the applicable systems.
Ensure compliance with all company policies and procedures.
Inspect containers and cash bags for signs of damage or tampering.
Report any discrepancies or anomalies to the Team Controller.
Acknowledge deposits on the relevant processing systems.
Process all deposits according to banking SLAs and operational requirements.
Prepare and process deposits accurately for note counting.
Note Sorting and Verification
Sort all notes received for processing within the required cut-off times.
Verify rejected notes and ensure supporting documentation is attached.
Check for counterfeit, dye-stained, mutilated, or damaged notes.
Conduct reconciliations on rejected note deposits.
Perform cash transfers to vaults where required.
Reconciliation and Balancing
Complete end-of-day balancing and reconciliation processes.
Investigate and resolve shortages and surpluses according to SOPs.
Ensure all cash transactions are accurately recorded and balanced.
Maintain accurate records of all processed deposits.
Desktop Deposit Processing
Process customer deposits separately and accurately.
Ensure all deposits are processed on the same day they are received.
Reconcile all transactions on the applicable systems.
Perform daily balancing and verification procedures.
Coin Processing
Process bulk coin deposits in line with company procedures.
Sort and process teller coin transfers accurately and efficiently.
Banking System Processing
Validate integrated banking transactions within agreed service levels.
Verify customer account information to prevent posting errors.
Escalate system issues, downtime, or delayed batches to management.
Communicate account-related issues to Client Services.
Payroll and Change Processing
Process payroll and change orders according to customer requirements.
Report discrepancies promptly to the Team Controller.
Seal and prepare float bags according to operational standards.
Obtain required bank authorisations before dispatching transactions.
Treasury and Prepack Functions
Assist with packing and unpacking ATM and bank cash.
Monitor and manage consumables required for packing operations.
Ensure bag and seal numbers are accurately recorded.
Equipment Management
Use company equipment in accordance with operational procedures.
Report faulty or damaged equipment immediately.
Assist in maintaining company assets and operational efficiency.
Minimum Requirements
Education
Grade 12 (Matric).
Mathematics Literacy is required.
Experience
6 to 12 months of previous cashier, teller, or cash handling experience will be advantageous.
Additional Requirements
Successful completion of SBV Cash Processor Training.
Ability to work accurately under pressure.
Strong attention to detail and numerical accuracy.
Ability to follow strict security and compliance procedures.
Skills and Competencies
Cash handling and reconciliation skills
Numerical accuracy
Attention to detail
Time management
Problem-solving abilities
Ability to work under pressure
Strong organisational skills
Teamwork and collaboration
Compliance and risk awareness
Good communication skills
Post a Comment