of Responsibilities • Monitor and review recent ATM installations and existing site performance to measure its deployment strategy • Implement and maintain ATM sales and performance models, build reporting dashboards steps based on statistical evidence • Benchmark ATM performance against financial and operational key Operate ATM performance gap analysis tools, advising on current ATM performance vs desired ATM performance performance • Design, implement and collate ATM performance data to determine the effectiveness of optimization
Acquire new business opportunities and grow our ATM presence. Generate Leads, create database and identifying the business with merchants in the area. Increase ATM footprint / representation nationally in retail sector Minimise underperforming ATMs that are below the agreed thresholds. Reduce ATM net pay away where it makes of the agreement. Presenting different types of ATMs and deals Ensure all supporting documentation is type of signage that will be used. Monitoring the ATM and transactions post installation Dealing with any
Acquire new business opportunities and grow our ATM presence. Generate Leads, create database and identifying the business with merchants in the area. Increase ATM footprint / representation nationally in retail sector Minimise underperforming ATMs that are below the agreed thresholds. Reduce ATM net pay away where it makes of the agreement. Presenting different types of ATMs and deals Ensure all supporting documentation is type of signage that will be used. Monitoring the ATM and transactions post installation Dealing with any
and payments Custodian of Employment Equity plan, BBBEE, Skills Development Plan Custodian of payroll Custodian Custodian of ERP system Active participation at EXCO level to drive implementation of the company's strategic
co-ordinate the cash replenishment process for our ATMs, while ensuring that 3rd parties adhere to and uphold relevant systems with the action plan to get the ATM transaction · Compiling a dispatch e-mail to technicians Ensuring that the RIGHT amount of Cash is in the RIGHT ATM at the RIGHT time – while balancing the risk vs the
co-ordinate the cash replenishment process for our ATMs, while ensuring that 3rd parties adhere to and uphold relevant systems with the action plan to get the ATM transaction · Compiling a dispatch e-mail to technicians Ensuring that the RIGHT amount of Cash is in the RIGHT ATM at the RIGHT time – while balancing the risk vs the
bank
Liaison between bank and operations for ATM and Nedlink terminals
Prepare cash position
e brokers and custodians receive the required information
involved in empowering customers to be successful custodians of their business Datawarehousing SQL development
process improvement IFRS statutory compliance Custodian for group accounting policy Annual financial statements