Our client is an international integrated security solutions provider who requires a seasoned operations achieved cost effectively and that the company's security procedures are applied throughout the branch. e. vehicles, assuring that all assets (including cash processing centre equipment) are well maintained adhere to company procedures and policies for all cash floats, customer details and other financial controls Shared best practice ROCC and compliance Effective Security and Risk Management for the branch Ensure that
chips, cash, coins, checks, credit and/or other monetary notes. Accurately counts
chips, cash, and
and coins in a quick and efficient manner. Receives coins or casino chips from
guests requesting
requesting paper and/or coin currency equivalency.
- Operates electronic coin counter or counts chips to
Provides guests with paper currency and/or coin equivalency.
- Obtains approval for ship credit
guests to avoid possible security risks. Notifies management and/or security
of suspicious behavior
guests to avoid possible security risks. Notifies management and/or security of
suspicious behavior
- Participates in casino cash and coin counts as assigned by casino management
planning and coordination Understand how to transition individuals and teams through change curve Team desirable: Previous Network segmentation, cyber security experience Previous agile and JIRA experience teams. Change Manager, network segmentation, cyber security, Agile, Jira
co-ordinating all aspects of institutional client transitions and proactively liaising with all parties both timelines and identifying potential issues related to cash funding and/or in-specie transfers
timelines and identifying potential issues related to cash funding and/or transfers
reporting
coordination
full financial reporting Budgeting and forecasting Cash Management Assistance with finalisation of external accounting software (experience in successfully transitioning between different software packages) Strong
management). Experience with reconciliations and cash management essential. Strong communicator and team timeframes. Set-up and monitor new clients and client transitions across custodians. Increased and more formal voting management, cash management and spot FX instruction, reconciliation of cash, positions and performance performance. Monitor daily cash and position reconciliations, settlement and corporate actions performed including management of cash levels, mirror differences, fund closing/consolidation. Cash management on funds