Description
**Job Objective**
Administer, control, and monitor operational and administrative processes related to collections, cash replenishment, and reconciliation, ensuring proper financial operations, incident resolution, cash control, transactional validation, and delivery of system-related operational deliverables.
**Key Functions and Responsibilities**
**Collections and Cash Replenishment Management**
* Supervise and validate the **correct cash and change replenishment** in accordance with authorized amounts.
* Coordinate and record **cash collection processes**.
* Conduct **physical cash counts**, validations, and cash audits.
* Verify discrepancies, shortages, or overages and document incidents.
* Maintain documentary control of deposits, withdrawals, and cash movements.
**Operational Monitoring and Reconciliations**
* Perform **operational and transactional reconciliations** across systems, physical collections, and financial reports.
* Validate accurate recording of executed transactions.
* Analyze operational discrepancies, rejections, inconsistencies, or balance differences.
* Prepare and monitor **daily, weekly, and monthly operational and collections reports**.
**Help Desk and Incident Management**
* Receive, manage, and monitor **help desk tickets**, collections, payments, operational failures, or transactional incidents.
* Document and escalate incidents to technical, operational, or vendor teams.
* Follow up until ticket closure and solution validation.
* Generate reports on recurring incidents and propose improvements.
**Reporting and Administrative Control**
* Prepare **transaction reports**, operational behavior analyses, availability assessments, and impact evaluations.
* Manage administrative and operational deliverables required by the department.
* Address internal requests related to collections operations and TVMs.
* Keep operational documentation, logs, and process evidence up to date.
**Control and Compliance**
* Ensure compliance with cash handling protocols and internal controls.
* Validate adherence to established operational procedures.
* Support operational audits and financial reconciliations.
**Education**
* **Bachelor’s Degree (Completed):**
* Administration
* Accounting
* Finance
* Business Management or related field
**Experience**
**Minimum 1–2 years in activities related to:**
* Cash handling and reconciliations.
* Collections or cashier functions.
* Operational administrative support.
* Incident handling and follow-up.
* Help desk / service desk (desirable).
* Preparation of operational reports.
**Technical Knowledge**
* Operational and financial reconciliations.
* Cash handling and cash audits.
* Interpretation of transactional reports.
* Intermediate/advanced Excel (pivot tables, cross-referencing, filters, formulas).
* Ticketing systems / help desk platforms.
* Incident tracking.
* Database management or operational reporting.
* Familiarity with electronic collections systems is desirable.
**Skills**
* High level of organization.
* Attention to detail.
* Analytical ability.
* Timely follow-up.
* Problem-solving skills.
* Handling of sensitive information.
* Effective communication.
* Ability to work under pressure.
* Logical and numerical thinking.
**Competencies**
* Responsibility.
* Integrity and honesty.
* Results orientation.
* Proactivity.
* Sense of urgency.
* Process adherence.
* Teamwork.
* Focus on quality and accuracy.
Schedule: 8 a.m. to 6 p.m. / 9 a.m. to 7 p.m., Monday through Friday (Availability to cover shifts)
**100% on-site.**
Salary: $12,000\.00 \- $15,000\.00 per month
Application Question(s):
* How far are you from Torre Uno?
Workplace: On-site employment