Cash Management Analyst at NCR Atleos
Dundee DD2, Scotland, United Kingdom -
Full Time


Start Date

Immediate

Expiry Date

21 Oct, 25

Salary

25000.0

Posted On

21 Jul, 25

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Communication Skills, Microsoft Excel

Industry

Financial Services

Description

ABOUT NCR ATLEOS

NCR Atleos, headquartered in Atlanta, is a leader in expanding financial access. Our dedicated 20,000 employees optimize the branch, improve operational efficiency, and maximize self-service availability for financial institutions and retailers across the globe.

  • Job Title: Cash Management Analyst
  • Location: Dundee
  • Salary: £25,000.00 per annum
  • Working Hours: 37.5 per week

KEY REQUIREMENTS:

  • Strong numerical skills with excellent attention to detail
  • Ability to multi-task
  • Proactive and reactive, with strong problem-solving abilities
  • Excellent written and verbal communication skills
  • Proficient in Microsoft Excel and the wider Microsoft Office suite
  • Enthusiastic and self-motivated
  • Collaborative team player
  • Positive, solution-oriented mindset
Responsibilities

ABOUT THE ROLE:

As a Cash Management Analyst, you will work alongside a wider team to deliver effectiveCash Management Service for ATMs.

RESPONSIBILITIES:

  • Reconcile and balance vault handovers and all cash movements daily; report vault holdings to cash suppliers.
  • Investigate and respond to all email queries to support overall operations.
  • Create daily cash orders for all cash suppliers.
  • Prepare and send packing schedules to each depot.
  • Update the in-house database with Cash in Transit (CIT) and Cash Supplier information.
  • Set up new sites with Cash Suppliers and the Cash Management System (CMS).
  • Liaise with and support the Security Department to apply appropriate risk profiles and assist with related projects.
  • Investigate missed Cash in Transit (CIT) replenishments from the previous day to restore service within 24 hours.
  • Run daily reports to ensure all sites are filled as planned.
  • Analyse ATM transaction behaviour to recommend improvements and ensure service continuity.
  • Manage, reconcile, and investigate third-party replenishments.
  • Ensure all service level agreements (SLAs) are met to deliver a premium service to third-party customers.
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